Thursday, October 31, 2019

Individual Analysis Paper Essay Example | Topics and Well Written Essays - 250 words

Individual Analysis Paper - Essay Example ‘emotional stability’, I can deal with difficult situations, and accordingly with the help of ‘conscientiousness’ and ‘openness-to-experience’, I will be able to gain more knowledge and become more competent as well as productive for my organization. Thus, these personality traits possessed by me will certainly have a positive impact on my job performance/satisfaction as my interpersonal skills are unrivalled in my current organization. I scored 64 units in terms of my job satisfaction which depicts that I am not highly satisfied with my present job role. As a competent professional, I wish to face more challenging job roles that would be adequate in utilizing my personal skills as well as the knowledge gained through experiences in my work. Notably, I have learnt the work process on my own and find myself to deserve a better and more challenging work to improve my overall job satisfaction. However, in the current position, I feel to be overqualified, which is the main reason for my lower job satisfaction score. I scored 19 in disciplining others which is not sufficient but also not quite low to be ignored. The reason for scoring low is certainly my lack of involvement in disciplining positions for a long period that hampered my skills largely due to non-performance. To improve my disciplining skills, I require practicing them regularly in my professional and in my personal life as

Tuesday, October 29, 2019

Iran And Weapons Of Mass Destruction Essay Example for Free

Iran And Weapons Of Mass Destruction Essay Iran is a signatory to the international treaties that prohibits production and keeping of weapons of mass destruction. These treaties are; the chemical weapons convection, the biological weapons convention and the nuclear Non-Profiliferation Treaty (NPT). Despite its ratification of these treaties, Iran is currently believed to be possessing weapons of mass destruction. After the Iraq-Iran war in early 1980s, Ayatollah Khomeini resolved to pursue nuclear research after he lost about 100,000 soldiers and civilians due to chemical weapons attacks by the Iraqis. Controversy has surrounded the Iranian nuclear weapons program for decades now. While the country maintains that its uranium enrichment program is solely meant for peaceful purposes and the current international atomic energy agency director general, Yukiya Amano claiming that there are no evidence in IAEA reports that Iran has plans to develop weapons of mass destruction, the United States through its congressional research paper believes that Iran had long finished developing nuclear weapons in 2003. The world is equally divided over the Iranian nuclear weapon program. Only a few European countries are siding with the United States and countries like Russia do not believe in the allegations that Iran has or has plans to develop nuclear weapons. Most countries from the East like China, Turkey, Syria, Afghanistan, the Arab League as well as Gulf Cooperation Council, have expressed their full support for Iran to pursue what they call a peaceful nuclear energy. But what are the implications of a nuclear energy in the hands of Iranians? The Iranian nuclear program has earned many foes and allies in almost equal measure. One of the greatest critics of the Iranian nuclear energy is the United States. The strain relationship between the countries dates back to three centuries when the Islamic revolution in Iran swept the US strong ally Shah out of power. When Ayatollah Khomeini came to power after the revolution, he driven the country’s foreign policy away from the United States and the two countries have ever since been polar opposites in virtually every foreign policies. Diplomatic relations between the two nations was broken in early 1980 and the Swiss government took over representation of American interest the following year. While in the United States, the Pakistani government assumed representation of Iranian affairs. However, the Iranian government has its own representative to the UN in New York City. In 1981, following the Algiers declaration, the US-Iran Claims Tribunal (situated at The Hague, Netherlands) was formed to resolved issues between the nationals of the two countries. However, this engagement has always remain and dealt with legal matters only . The Iranian nuclear program has only worked over the years to strain the diplomatic relations further. American government by executive orders made by its president and also by the congressional legislation bars any form of trade with Iran. These sanctions were imposed because of Iran’s continued pursuance of its nuclear program and its noncompliance with the IAEA demands. Iran is further accused of sponsoring terrorists and terror activities as well as of having poor human rights record. However, the American government has always maintained that these sanctions only target the Iranian government engagement with the US and not the citizens of Iran. The US therefore permits certain trades that would help the nationals of Iran. Such engagement as relief donations by the American nationals and NGOs, export of medical and agricultural products from US to Iran and import of foodstuff from Iran are permitted. The American government has at times lifted the trade sanctions especially in times of humanitarian crises like was the case in 2003 during the Ban earthquake. Obstacles to diplomatic relations between the countries however, still remain unresolved. The United States is mainly concerned with the Iranian authorities’ lack of compliance with the IAEA and accused their counterparts of pursuing a risky ambition that would threaten peace in the world. The US fears over the Iran’s nuclear is connected with their allegations that Iran has been sponsoring terror activities. Iran has always objected to the peace deal favoring the Israel and has been accused of undermining the Middle East peace process through its continued arming of militia and terror groups like Hezbollah, Palestinian Islamic Jihad and the Hamas. The risks a nuclear Iran would subject the world to through its continued association with militia and terror groups is one of the reason sanctions are being imposed not only by the US government but also by the European union and the United Nations security council. The Iran nuclear program would not be a threat to Israel but also the world at large. Analysis of the frosty relations between Iran and Israel would shed more light on how the world would be threatened by Iran as a nuclear power. Iran is the second largest country with a Jewish population in the Middle East after Israel and some notable figures in Israel are known to have originated from Iran. The two countries had had good relations when Iran was ruled by the Shah, but after the Islamic revolution of Iran, Israel and the Iran’s ruling clergy have had hostile ties with Iran refusing to recognize Israel. However, even during the hostile relationship, Israel helped United States sell arms to Iran as part of the infamous Iran-Contra scandal. In recent times, the United States has been very much vocal against the Iranian nuclear program. Israel on the other hand has always been ready to disarm the Iranians of their missiles and other weapons considered destructive. They have even considered tactically deploying their nuclear weapons to clear off the Iranian nuclear facilities. Although Israel has never officially confirmed the number of its nuclear weapons, it is whispered in the international security circles that the country has about 200-400 weapons of mass destruction and is the only country possessing a nuclear weapons in the Middle East. And it is not lost to many that Israel had bombed the Iraqi facility believed to have been part of its nuclear programs. The perennial conflict between Israel and Palestinians has not help matters either. The Palestinians continued migration to south Lebanon led the formation of militant groups like Hezbollah, Hamas, and the Palestine Islamic Jihad among others. Although these groups have been considered terrorists groupings by many countries, Iran disagrees. It has not only offered these groups material support in terms of weapons but regard the groups as organizations fighting for a justified cause and publicly offer them moral support. These groups especially the Hezbollah regard the Iran spiritual leader as their ultimate authority and the groups themselves have confirmed that all political decisions concerning their affairs are referred and made in Iran. For example, the Iran spiritual leader himself is said to have favored the Hezbollah’s participation in the Lebanese politics. In light of these revelations, it would be appropriate to say that Iran is sponsoring suicide bombers at least indirect to fight the Israelis. The Iranians and the leaders have always denounced Israel and more often pronounce death of Israel in different forms. The Iranian president Mahmoud Ahmadinejad is on record claiming that Israel ought to be wiped off from the face of the earth and even questioned why the holocaust did not perform it once and for all. We may argued that the Iranian president does not wield so much power and that the spiritual leader who at some point sought ceasefire and normalized relations with the Israelis, is the real source of power. But the ruling clergy is up to no good if his agitations to have Hezbollah become a full political outfit which was objected to by the United States is anything to go by. Looking back at the recent events in Lebanon where Israel suffered a humiliating defeat in the hands of Hezbollah, the influence of Iran and its militant group, Hezbollah in the Middle East was just given a shot in the arm. We may argue that Iran never started its nuclear weapons program with Israel in mind. But going by the unrelenting anti-Israel rhetoric by its leaders, it would be quite in order to say that Iran’s number one enemy right now is Israel and given opportunity would go ahead and wipe out the entire nation. Only nuclear weapons would put it at par with Israel and make it achieve the mass destruction they would love to see. Again, sorting out Israel as its number one enemy, Iran is simply creating more enemies. With the United States leading the pack of countries associating and supporting Israel, Iranians would declare war with any nation oppose to their policies against Israel. Diplomacy and Alternatives President Bush’s efforts to halt the Iranians’ uranium enrichment program had been focused on building a strong international coalition that would impose tough sanctions against Iran intended to punish and isolate until it abandons its plans to develop nuclear weapons program. The country on the other hand, maintains its nuclear program is intended for peaceful uses. When president Obama came into power, the first thing he announced regarding his foreign policy was to negotiate with Iran and talk it out of its nuclear weapons program. So far nothing tangible is coming from the Iranian side. The major problem in this whole process is that Iranian leaders are simply not willing to talk and even as Washington tries to pursue diplomacy, Tehran is determined on carrying on with its program. The Obama administration should not just explore this option without understanding their Iranian counterparts. From the developments so far, it seems Tehran is not about to make a compromise on its program. But where does this leave Obama with his pledge for a more engagement with Tehran? Besides diplomacy, are there other options left for Washington? The present world security situation is quite disturbing. The world and more specifically the United States national security is currently threatened either directly or indirectly by the developments in Iran and this should inform president Obama to realize that shunning any further contact with Iran is a luxury American cannot afford. But then the issue is complicated with the popularly-driven opposition that may be demoralized if American approaches the matter with high-handedness. A continued engagement with Tehran therefore would call for clear understanding of the nature of Iran politics and policies. My first and last option has always been engagement and engagement. The America should keep this door of dialogue wide open. However, it would be careless of us if we are only concerned with the nuclear issue. Apart from addressing the other security concerns such as Afghanistan and Iraq which Iran is threatening, the Obama administration should embark on holding the regime accountable for human rights violations. Iran has always had a problem adhering to international standards of justice. Although the word is quite commonly used by the Iranian leaders it lacks any respect at all among the Iranian officials. I have a strong belief that raising the human rights issue would make the Tehran regime think twice about using brutality and repression against its people. Failure to address the human rights issue, Americans would be creating an impression among the people of Iran that it is a cynical superpower out to cut deals at their own expense. All said, we must understand that dialogue was never an end in itself but a means to halt Iran’s nuclear plans and to check its regional policies. We should hope that dialogue bare fruits and we must believe in our secretary of states Hillary Clinton and her undersecretary Bill Burns as skilful diplomats. However, my greatest concern is that the Tehran regime is not willing to reach a compromise with Washington. In essence, the problem in Iran is in their present leaders rather than the country’s nuclear ambitions. This does not means that we overthrow the current regime through the pro-active democracy utterances of the president Bush and his administration. We should believe in the Iranian as being capable of shaping their destiny. And therefore, Americans should refrain from using policies that would jeopardize the current momentum of opposition movements in the country. This would call for a skillful and careful â€Å"engagement† that would broaden the dialogue beyond just nukes and treading away from military confrontation. I believe Ahmadinejad and the spiritual leader would most welcome a US military strike; it may offer them a lifeline to crush popular dissent and right internal political rifts. Finally, obama may be thinking of tougher sanctions going by the statement made by his secretary of states Hillary Clinton in late May. The problem with trade sanctions is that they have been there for almost 30 years now but nothing much has changed and I have a belief that Iran is used to it now. If they refused the carrot and stick of President Bush, what tells us now that Iran would play ball? Our option must be a change in approach in our engagement. Conclusion For over two decades of dialogue, diplomacy and sanctions have achieved a little impact in the Iran’s nuclear plans. They have delayed such a program, made its operations and nuclear programs more covert and have continuously highlighted the risks Iran is posing to itself and the world. Such policies however, have never stopped Iran from acquiring long-range missiles, the technology as well as production facilities for making nuclear weapons. The United States therefore needs to change tact in its dealing with the Tehran regime and in containing its nuclear weapons ambitions.

Saturday, October 26, 2019

The Food Security Of India

The Food Security Of India Food Security as described in World Food Summit, Rome 1996, Food Security exists, when all people, at all time have physical and economic access to sufficient safe and nutritious food to meet their dietary needs and food preference for an active and healthy life. India uptill now has faced 14 famines in its history and among them the Bengal Famine of 1943 was the worst. Food availability and agriculture in India has been largely related to the vagaries of monsoon. In the past concentrated efforts were made to achieve food security by increasing food grain production. The Green Revolution was a step towards attaining Food Security. For maintaining a satisfactory level of operational and buffer stock of food grains and to ensure national food security, The Food Corporation of India (FCI henceforth) was set up under the Food Corporation Act 1964. It ensured effective price support operation for safeguarding the interest of the farmers. Another important work that FCI does is managing the Public Distribution System. FCI maintains food security in the country through its four Zonal Offices- North Zone, South Zone, East Zone and West Zone and their respective regional offices. FCI has also established a comprehensive and a structured training mechanism in accordance with its organisational goals known as the Institute of Food Security. The flagship activity of the institute has been to conduct short-term training programmes on various subjects related to Food Security, Managerial Skills, Computer skills and on operations of FCI. Food Security as we have mentioned above exists when all people have access to have food and there is a minimum level of nutrition that is maintained. There are four main dimensions of food security that can be identified: PTO Physical Availability of food- It is determined by the level of food production, stock levels and net trade or in short we refer to the supply side of food availability. Economic and Physical access to food- Access to food depends on income, expenditure, market and prevailing prices in the market. Availability of food grains in the country does not ensure availability to every individual. Food utilization- Sufficient energy and nutrient intake by individuals along with good biological utilization of food consumed determines the nutritional status of individuals. Stability of other three dimensions over time Adverse weather conditions, political conditions and economic factors have an impact over food security. In spite of constant efforts by the government and FCIs repeated efforts India has failed to feed the teeming millions. Food availability in the country is poor and there still remain a huge amount people who strive to get two squares of meal a day. Innovative strategic interventions are the needs of the hour and they have to be implemented to ensure food availability, food access and utilization. Freedom from hunger is not only a basic right but it is also essential for the enjoyment of all other rights. There has to be much stress on community farming. Through research and development it has to be aimed to reduce cost of production. New technology has to be introduced so as to achieve high production and better yield. It has been rightly mentioned in our five year plans that the time has come to introduce a Second Green Revolution. A revolution of such a great intensity is required to overcome these ailments. Expanding utilization of food facilities and encouraging private sector i nvestments can be another possibility towards achieving this goal. Over the years India has miserably failed to achieve food security. The number of people without enough food to eat on a regular basis remains stubbornly high through the ages. In India about 29 % of the 872.9 million people are malnourished. There have been various reasons contributing to this. One of major reasons is that Indian agriculture has been highly dependent on the vagaries of monsoon. Rainfall has been constantly irregular in India and moreover the recent changes in the climatic conditions all over the world have contributed to the problem of unavailability of food. In spite of Governments repeated efforts to maintain Food Security and availability, it has been highly subject to the irregularities of agricultural production. It is said that India attained national food self-sufficiency 35 years ago yet about 35% of its population remains food insecure. We look into the close interlink between food security and agriculture. In the past three decades the South Asian countries have made considerable advancement in food production which was elicited by the Green Revolution. Green Revolution was introduced in 1960s and they brought in the use of High Yielding Variety (HYV) of seeds. It brought about a revolutionary boost in production. Now there was a huge expansion in the crop yield which contributed to the countrys growth. But agriculture was highly decelerated in the country and more focus was laid on industrialisation. Thus the wave of green revolution did not reach all parts of the country and it full effect was not realised. It remained regional and only affected the rich farmers. Also in the 1960s India experienced two major droughts and there was a severe food shortage. There was not sufficient food for all. Also we can say that green revolution was successful to some extent but the aim of self sufficiency and food security still seem like a distant dream. In India climate plays a major role in agriculture. Agriculture even to this day is highly dependent on the vagaries of monsoon. Climatic change will affect food security through its impacts on all components of national and local food production system. There has been a rising trend in the temperatures all over the world. This has contributed to a fall in rainfall drastically. Another aspect of climatic change is that of extreme weather events like cyclone which has made agriculture losses higher and has affected total production. Climatic changes as seawater incursion and unusual flooding are effecting greatly as well. Changes in temperature and precipitation influence water run-off and erosion affecting soil organic carbon and nitrogen content and salinity in the soil. Thus the changing weather condition all over the world has had its toll on agriculture. The new climatic conditions are more likely to have negative impacts such as a rise in the spread of diseases and pests, which will reduce yields. Rainfall trends have changed and decrease in rainfall has lead to a fall in production. Rising temperature, changing precipitation patterns and an increasing frequency of extreme weather events are expected to be the reasons for reducing regional water availability. In a country like India where there is lack of irrigation facilities and agriculture is completely dependent on rainfall, irregular rainfall directly affect the total crop production. Unavailability of sufficient water is also another reason for crop failure. Grain output has been stagnating for over a decade and there is a growing gap between supply and demand. A decrease in production leads to poor availability and thus food security of the country is poor. The crisis has been building up for some time. The food grains yields of Indian farmers are not going up. Thus we come to the conclusion that climate change will reduce crop yield in the tropical country like India. The regional inequality in foo d production resulting from climate change will have a very great implication on the food security of the country. Another problem is that of lack of proper mechanization in agriculture. Indian farmers are mostly too poor to implement the modern techniques or machinery in their farms. The small and marginal farmers generally sell their produce. Now transporting and storage of food grains too holds huge importance in a country like India where the condition of infrastructure is very poor. The Food Corporation of India has been entrusted with the job of maintaining a buffer stock. A buffer stock is necessary so as to ensure food security during bad agricultural years or crop failures. But due to lack of infrastructure every year there is a considerable amount of food grains that is wasted. Quantity of food grains damaged in India : YEAR QUANTITY(lakh MTs) 2004-2005 0.97 2005-2006 0.95 2006-2007 0.25 2007-2008 0.34 2008-2009 0.03 2009-2010 0.03 AVERAGE 0.58 Source: Rajya Sabha Unstarred Question No. 2779, dated 27.04.2007. Lok Sabha Unstarred Question No. 3065, dated 08.12.2009 The above table shows the amount of food which is wasted from 2004-2010. In a country like India where agricultural production is not enough and people do not get two squares of meal a day, these datas are shocking. This has lead to a fall in food security because there has been a deficiency of food grains. Another important factor in this context is that of land use. Due to rapid industrialisation in building roads, houses and factories, private entrepreneurs are taking away the fertile lands for non-agricultural purposes. The supply of land in nature is fixed and as more and more land is used for non-agricultural practises it has been seen that the land for agricultural purpose is decreasing. People look at the comparative advantage of industrialisation over agriculture. But they fail to realise that in a way they are decreasing their food-grain production. This has lead to a disparity between the demand and supply of food grains and thus instability in food security. The food policy of India took up two objectives one is to create a food surplus economy and next is to provide food grains at subsidised rates. Our Prime Minister Indira Gandhi had implemented a seed-water-fertilizer policy commonly called the Green Revolution in order to attain self-sufficiency and to attain food security. It is time we had a revolution of such an intensity to revive our strategies to attain food security. In a country as huge as India where population grows at about 8 % and where a large chunk of the population is malnourished and under-weight it becomes necessary to attain food security. The supply chain between the farmers and the consumers should be shortened. Farmer friendly marketing processes should be introduced. And most important a second revolution is necessary to bring about stability in the Food Security in the country. **************************

Friday, October 25, 2019

Antigone †Strong and Powerful or Spoiled and Stubborn? Essay -- Antig

Antigone – Strong and Powerful or Spoiled and Stubborn? Of the tragic figures in Antigone, Creon is the most obviously evil because his motives are self-serving and his fate the worst. As the play begins, we learn that Antigone has defied Creon's royal decree by performing sacred burial rites for her exiled brother, Polyneices. Polyneices has been declared an enemy of the state by Creon. The sentence for anyone attempting to bury him is death by stoning. Creon has become King of Thebes by default, as a result of Oedipus' fate as previously predicted by the Oracle at Delphi: Oedipus murders his father and unknowingly marries his mother. Jocaste, his mother and wife and Creon's sister, commits suicide upon learning the truth. Between Oedipus' two sons, Creon sides with Etocles in his claim for Oedipus' throne and exiles Polyneices. Polyneices, in exile, raises an army against Thebes, attempting to seize the throne for himself. The two brothers fight and slay one another. Etocles is awarded an honorable burial by Creon for bravely defending the city, but Polyneices is denied any burial because of his act of treason. Denial of a ritual burial was damming and nearly sacrilegious to the ancient Greeks. Creon is enraged to discover his decree has been disobeyed. When he learns it is Antigone, his niece, he asks her if she has heard the decree. She says yes, that the decree was declared publicly and openly -- she answers that she understands the consequences. Creon further asks Antigone if she is blatantly defying him. She replies that she is answering and obeying a higher law. Creon condemns her, and in doing so violates the unspoken law of loyalty to the family. Creon's will be done! Creon: Do you want me to show m... ...th her death. Chorus: You has passed beyond human daring and come at last Into a place of stone where justice sits. I cannot tell What shape your father's guilt appears in this. Antigone: You have touched it at last: the bridal bed Unspeakable, horror of son and mother mingling: Their crime, infection of all our family! Your marriage strikes from the grace to murder mine. I have been a stranger here in my own land: All my life The blasphemy of my birth has followed me. (Sophocles 4,33-44). Perhaps this self-sentencing is her noble moral cause, or the very extreme of evil indulgence in self-pity and stupidity; self absorption at the eminent loss of human life, including her own. Maybe she's just spoiled and stubborn. Works Cited Sophocles. Antigone Trans. Robert Fagles. New York: Penguin Classics, 1984.

Wednesday, October 23, 2019

Nba During the 70s

The NAB of the ass greatly differs from what our expectations of today's league, especially when evaluating the background In which the players came from. Recent statistics show that more than 90% of ass's NAB players came from urban areas, but when compared to today's league only about 34% of black players come from families in financial situations (Keating). The question that needs to be asked when observing these statistics is what happened to the league or basketball In general that subsequently pushed poorer players out of the league?When analyzing what has could have caused such a shift in the makeup of the NAB we have to observe the rise in popularity of basketball as the years have gone by. Since the offs, the NAB has grown exponentially into a 43 billion dollar industry with international reach (Plunked Research) Much of this growth can be accredited to the creation of superstars during the late ass's and ass's. Along with this expansion and increase in basketball's populari ty, we find that more and more money began to be put Into basketball programs (Keating).Schools that have more access to exposable income, such as those in the suburbs, suddenly can produce better equipment, coaches and basketball programs than those in the city. Basketball camps suddenly spring up more and more with high quality ones having a larger price tag (Five Star). Today's NAB has even gone International with more and more players coming from places such as Europe. So both the expansion of the NAB and the quality of urban area schools become broader topics that should be discussed when looking at the change in the quality of NAB players backgrounds. What possibly answer could there be to why today's NAB Is made up of more well off' basketball players than it was in the ASS? Simple, It cost more money to create an NAB caliber athlete today than it did in the ass's due the increase in the Nab's popularity. To help support this stance I'd have to look at specific aspects of the NAB that have greatly affected who can become an NAB athlete. After analyzing these aspects, they will be connected to how money Is used to adjust to the changing times.Answering the question will require a great amount of research in relatively tiny aspects that have great importance in an NAB players career. For example, looking at the quality of high schools that many great NAB players graduated from and how much money the schools focused into their basketball program. Researching the surge in athletes coming from abroad should also prove as a great factor when discussing the backgrounds of NAB players both because of the difference of life outside of America and the fact that American colligate basketball player now compete with them for a spot in the draft.The Importance of basketball clinics and amps have also become more prevalent in today's world with many of those considered to be â€Å"High quality' to have tuition that is hundreds of dollars. The great Increase In salar ies of NAB players also provide a great looking glass Into why a spot on a team in the NAB would be so sought after and should be heavily researched; especially when considering that the average salary of a NAB player in the ass's was about 35,000 (20 second). Tofu Few counter arguments can be made about the idea that money NAS become a large aspect in determining who can be an NAB athlete in today's world.However, examples like Lebanon James and Derrick Rose could easily be brought up and said that since their families came from relatively less fortunate families. But players like these have to be considered outliers when considering the background of the average NAB player. Annotated Bibliography

Tuesday, October 22, 2019

Schizophrenia2 essays

Schizophrenia2 essays Schizophrenia- Severe disorders on which there are disturbances of thoughts, communications, and emotions, including delusions and hallucinations. (Psychology: An Introduction,Charles D. Morris with Albert A. Maisto) It's quite horrendous. First of all, you've got somebody that you love, a child that you've raised. And then suddenly, the child becomes a crazy person. Better drugs and new ways of treating schizophrenia are enabling more of the disease's victims to live in society instead of institutions, and even to hold down jobs. Schizophrenia can be detected in childhoodeven traced to the womb. These malfunctions may be wired into the brain before birth. There is mounting evidence that schizophrenia reflects deviation in development rather than a backwards process that begins in maturity. Scientists,whose findings have already paved the way for a greater understanding of schizophrenia, and researchers around the world are hunting for underlying causes of the disease. People diagnosed with schizophrenia display a wide-ranging breakdown of perception and thought. A glitch in the timing of cell responses across broad swaths of brain tissue may help account for these people's fragmented experienc e of the world, according to a new study. In the brains of schizophrenia sufferers, electrical activity fails to synchronize with a specific sound frequency as it does in the brains of mentally healthy people. Improved drugs to fight psychosisthe loss of contact with reality that afflicts schizophrenicsare already coming on the market, and some researchers believe that within the next few decades, scientists will find a way to virtually cure the obscure disease. Schizophrenia usually begins between the ages of 16 and 30, with men often being affected earlier than women. The first symptoms can include trouble concentrating or sleeping, and afflicted people may start avoiding their friends. In the next stage, many schizophrenics ...

Monday, October 21, 2019

The Concept Of Evidence Based Practice Social Work Essay Essay Example

The Concept Of Evidence Based Practice Social Work Essay Essay Example The Concept Of Evidence Based Practice Social Work Essay Paper The Concept Of Evidence Based Practice Social Work Essay Paper Introduction This essay aims to place and critically appraise grounds of whether social intercession better result for depression in British Pakistani adult females. I will analyze whether social intercession can take to better mental well-being, authorization and single growing. I will analyze the value accent of curative societal support in mental wellness. The context of societal work pattern in mental wellness is complex, hence societal work intercession has to hold an ethical and value based model. I will measure the theoretical footing for standardise pattern. The statutory alterations in Britain to see the fundamental values place incorporated in recent policies and statute law will be examined. Specify the construct of grounds based pattern Evidence based pattern ( EBP ) harmonizing to Sackett ( 1997 ) citied in Gray et Al ( 2009: 119 ) connotes a procedure of bettering professional opinion through the painstaking and wise integrating and synthesis of well-researched empirical grounds to measure the efficaciousness and effectivity of intercession in heightening service users results and how this can be integrated into pattern context to better service bringing and professional answerability ( Department of Health Service and Public Safety, 2012 ) ( Gray, Plath, A ; Webb, 2009 ) ( Sheppard, 2004 ) ( Corby, 2006 ) . It gives a model for analyzing the state of affairs and bring forthing a figure of possible options ( Thompson N. , 2000, p. 35 ) . ( Mathews A ; Crawford, 2011 ) suggested that practicians must believe critically and reflect on research grounds for credibleness, completeness and transferability to inform professional opinion as this an deduction for policy shapers, professionals, communities and servic e users. The drift for EBP within societal work is underpinned on the centrality on service users best involvement to steer pattern that is culturally sensitive and of significance to service users within the dynamic context of pattern, statute law and societal policy ( Bolton, 2002 ) . EBP hence necessitates societal workers reflexiveness of how values, theoretical premises , policies, past experiences and the context in which pattern takes topographic point combine with service users perspective, penchants, and civilization to steer and inform pattern ( Munro, 2002:10 ) . This is to account for the many-sided personal, cultural and societal dimensions of service users ( Webber A ; Nathan, 2010 ) Select an facet of societal work What involvement me in this subject is the spread which exist in supplying culturally sensitive support to black and cultural minority group with depression. The grounds available suggest that single with mental wellness hurt including depression are the most marginalised and excluded groups in society ( Stepney A ; Ford, 2001 ) . Additionally, the prevalence of depression in black and minority ethnic ( BME ) and in peculiar adult females from Pakistani background in Britain, underlines the importance of back uping statutory and voluntary enterprises directed towards run intoing their demands ( Husain, Creed, A ; Tomenson, 1997 ) ( Gater, et al. , 2009 ) . ( Miranda, et al. , 2003 ) noted the spread in grounds based for social intercession . Pulling on their pattern experiences and appropriate grounds Within the context of community voluntary mental wellness services, their diverse types of grounds that informs pattern and policy and societal workers have an ethical duty in the pick of theories and theoretical account of working. In my pattern, a systems attack is emphasised in understanding the interplay and multiplicity of service users context. Psychodynamic attack is concerned with how perceptual experiences of demands, stigma and stereotyped premises motivate human behavior including aid seeking, revelation of sensitive information. Past experiences are seen as cardinal in the jobs single experience and used in understanding the kineticss of the assisting relationship. Social larning theory suggests behaviors are influenced by service users socio-cultural context. For illustration aid seeking behavior is influenced and reinforced by stigma and service bringing Therefore cognitive- behavioral therapy is emphasised by understanding the function perceptual experiences in aid seeking. Therefore through interaction, patterning service users perceptual experience is influenced. Conflict theory is priceless in understanding cultural struggles, stigma and subjugation, power instability. As noted in Saleeby ( 1996 ) the strength position is intrinsic to societal work values of service users engagement, and esteeming single as holding strengths The feminist position takes into history the function of gender and the historical deficiency of power experienced by adult females. Collaborative relationship is emphasised between the societal worker and service user through equality and authorization. Through empirical observation utilizing randomised controlled test, Gater, et Al ( 2010 ) investigated the effectual of Social intercession for British Pakistani adult females with depression. It sought to explicate the cause and consequence , to foretell and command world, and to make unambiguous nonsubjective truth that can be proven or disproved to inform the effectivity of intercession and policies execution. Qualitative informations used to understand persons societal world within their socio- cultural context which inquiries cultural premises, favoritism and subjugation and the deduction and significance in execution. This can be used to gestate service users position sing intercession and constabularies deductions, their demands and perceptual experiences about current constabularies and intercessions. The job work outing theoretical account focal points on understanding service users in their context and working in partnership. In a cross sectional survey, prevalence of depression amongst adult females of Pakistani beginning was twice every bit high comparison to white European adult females ( Gater, et al. , 2009 ) . ( Campbell A ; McLean, 2002 ) suggested that societal capital resources is embedded in within societal webs and better recovery. An alternate explanatory model for the prevalence of depression in Pakistani adult females in mental wellness statistics has been the societal constructive position. This position encompasses aid seeking behavior. There are some evidenced based intercessions that have been proven to assist people recovery from depression. The randomised control test survey by ( Harris, Brown, A ; Robinson, Befriending as an intercession for chronic depression among adult females in an interior metropolis: Randomised control trail, 1999 ) found that befriending strategies are good in bettering recovery. This is to counter the unfavorable judgments of institutional racism and cultural premises in the bringing of mental wellness services to black and cultural minority groups ( Gould, 2010 ) . Phillip Rack ( 1982 ) cited in ( Gould, 2010 ) : 40 proposed a Culturally attuned attack that used penetration This intercession is cardinal to societal work values of respecting and valuing uniqueness and diverseness and recognising and edifice strengths. Social intercession involves facets of partnership and include and accent on the impact of environmental force per unit areas on persons and therefore can be priceless in anti-discriminatory work with service users in offering authorization and covering with structural subjugation ( Ahmad B. , 1990, p. 51 ) . He besides noted the importance of importance of qualitative research in researching these issues ( Ahmad W. , 1995 ) . This societal intercession included specific mark groups. It uses an attack that included instruction and/or direct contact with people who are depressed. Social intercession provides societal workers with a structural grasp of the nature of societal jobs ( Gould, 2010, p. 60 ) ( Harris, 2010 ) societal support and depression Reconnection of hope through curative brush Psychosocial and cognitive therapies have now been included in clinical pattern guidelines. However, there remain considerable jobs with black and cultural minority accessing these services. Research has shown a consistent relationship between mental unwellness and indexs of societal disadvantages ( Fryers, Melzer, A ; Jenkins, 2003 ) . Therefore, development of schemes to back up aid seeking and intervention is needed. ( Mathews A ; Crawford, 2011 ) ( Orme A ; Shemmings, 2010 ) ( Smith, 2004 ) ( Gask, Aseem, Waquas, A ; Waheed, 2011 ) qualitative thematic analysis ( societal isolation ) household struggle, societal cultural factors, psychosocial factors Identify what can be learned from the grounds In Gater, et Al ( 2010 ) Social intercession for British Pakistani adult females with depression: randomised controlled test, Participants societal operation and depression were signii ¬?cantly improved. Given the prevalence of depression ( Gater, et al. , 2009 ) in this group and the under-representation amongst people able to entree supportive services, this presents an of import development. In relation to bettering participants battle qualitative surveies have found the enfeebling consequence of stigma as a signii ¬?cant barrier for accessing support ( Livingston A ; Boyd, 2010 ) ( Mak, Poon, Pun, A ; Cheung, 2007 ) . Stigma is understood as the interplay of persons societal individuality and socio-cultural kineticss in which persons with mental wellness are discriminated against and socially excluded due to stereotyped premise ( Lam, 2008 ) . This i ¬?nding is consistent with the grounds sing societal support intercessions in ( Harris, A stress-vunerability theoretical account of mental wellness upset: deductions for pattern, 2010 ) . However, there is a spread of how stigma associated with mental unwellness can be reduced. The survey was of high research quality, which indicates a decreased hazard of biasness and confounding. A major restriction of this survey is heterogeneity amongst the sample, that merely 123 participants and increase in societal operation is limited to merely 3 months. Therefore, the medium to long-run effects of societal intercession within this group remain mostly unknown. Another research spread is the absence of a dynamic medicine attachment related surveies aimed at this group, which have been identii ¬?ed as of import for accomplishing attachment and better result for depression ( Miranda, et al. , 2003 ) . Addressing the opposition from household members around issue of confidentiality and stigma amongst this population may be best accomplished through culturally appropriate communicating schemes that installations warm and empathy and societal capital. In contrast, the research suggests that societal intercession although it improves depression in the short tally will non accomplish meaningful betterments in the long tally without antidepressant. ( Department of Health, 2007 ) emphasises partnership working, regard for diverseness, strengths and aspirations and service users centred. Its focal point on effectivity, answerability and personal development are congruent with the rules of grounds based pattern. ( Slade, 2009 ) noted that personal recovery is a challenging and contested construct within the sphere of empirical grounds. The multi facet degree of mental unwellness is apparent in the definition of mental wellness, the impact of intervention and the societal effects. However, ( Resnick, Fontana, Lehman, A ; RA, 2005 ) highlighted that authorization, hope and optimism, cognition and life satisfaction result that are cardinal to the recovery theoretical account allows the prevalence of recovery to be investigated through empirical observation. ( Gould, 2010 ) As stated in ( Gater, et al. , 2009 ) , an epidemiology of depression that accounts for societal support and societal troubles is critical. Social context of depression However, depression is associated with of import negative effects, such as societal exclusion, low self-pride. Social exclusion harmonizing to ( Hills, LeGrand, A ; Piachaud, 2004 ) should be conceptualise in the context of the personal, cultural and structural dimension and highlighted deficiency of societal interaction as a signifier of societal exclusion. Attuned to cultural beliefs and norms Social and inclusive pattern have been developed and reinforced by the Capabilities for Inclusive Practice ( Department of Health, 2007 ) study: working in partnership, esteeming diverseness. Assessment requires service users engagement and entree to information to do informed pick. This theoretical account of appraisal has to be cultural sensitive and proactive in nature. Psychosocial appraisal Although societal support is often referred to as good in relation to depression, there has been small effort to stipulate what this means and to measure the effectivity of intercessions to cut down isolation. ( Tew, 2004 ) Partnership working is important in following a societal theoretical account of intercession. Culturally sensitive pattern. ( Gater, Waheed, Husain, Tomenson, Aseem, A ; Creed, 2010 ) ( Webber W. , 2011 ) Research indicates that ( Oakley, Strange, Toroyan, Wiggins, Roberts, A ; Stephenson, 2003 ) Mental wellness is pattern within a context of multi-disciplinary coaction to incorporate the bio-psychosocial theoretical account of pattern. The execution of EBP within this context has to account for the theoretical premises that underpin this country of pattern. This involves preparation and supervising. Research by ( Huxley, et al. , 2005 ) indicated emphasis of workers as accounting for their deficiency of implementing EBP. noted that another ground for EBP non been implemented is due to stereotyped premises that black and cultural minorities prefer informal support than support from professional. One barrier to effectual appraisal and intercession for depression epidemiology Another barrier is the reluctance of cultural minority group to portion their emotional symptoms due to household force per unit area and perceive stigma. To get the better of these barriers, -social intercession that accounts for societal capital is important. EBP therefore requires pattern that is needs non resources leads if services are to be provided that are of sound professional opinion. Percepts about depression and stigma have been through empirical observation supported in experimental, cross-sectional and longitudinal surveies to decline depression and affect interpersonal result and societal support ( Thomsen, 2006 ) . Analysis and brooding procedure of informations aggregation, the transparences about the relational nature of the research, and the ways which service users perspective are constructed through a respectful partnership and reflexiveness of how our values, theoretical premises, policies, past experiences and the context in which pattern takes topographic point. Trust and openness in research relationship a mutual procedure right- based analytical attack ( Department of Health, 2008 ) ethical and critical engage that with respectful uncertainnesss that reflect on the procedure of battle and analysis Common and sincere coaction, over clip respectful uncertainnesss Using multiple informations beginnings to account for publication biasness and multiple positions and ways of cognizing Recognition of complexnesss of worlds Use of reflexiveness focal point on contexts of and relationships between research worker and researched as determining the creative activity of cognition. Ethical consideration in cognition ( Gask, Aseem, Waquas, A ; Waheed, 2011 ) understanding how symptoms are expressed and perceive. Understanding emotional expressiveness within cultural context. Decision In decision, societal intercession has highlighted schemes that have demonstrated some success for bettering aid seeking. Given the complexnesss and multi facet dimension of single experiences and the context in which needs occurs, it is imperative that the singularity of person is taken into history within the paradigm of culturally competent pattern ( Dalrymple and Burke, 2006 ) . In add-on, Social Work pattern draws on theoretical cognition from societal scientific disciplines, which are normally Eurocentric, it is indispensable, that Social Work pattern integrate cognition from best grounds for it to run into it ethical duty to counter oppressive and prejudiced pattern ( Thompson N. , 2003 ) ( Webber W. , 2011 ) . ( Thompson N. 2003 )

Sunday, October 20, 2019

Henry V essays

Henry V essays What is the scene in the very beginning of the movie? It is the backstage of a theatre. It is modern day, you can tell by the building, lights, and the match. The man speaks in very old language for such surroundings. The scene we are next brought to is obviously much farther back in time. It is lit by candles. The clothing worn by the men is cloth with accents of metals. They look like very good clothes I also believe these people are all upper class/royal in some way. The priests bless the king. The language is very difficult to understand. Kenneth Branaugh looks much younger in this movie then others he ha made, I assume it is one of his earlier movies. The throne Henry V sits on is wooden and simple. The doors in Henrys hall were enormous. The common men and women wore simpler cloth clothing. The women wear such ragged clothing, its hardly anything. Some of the more warrior-like men wear chain-mail and have swords. When we see Henry again, he is wearing a bright blue and red shi rt. The kings royal wear is much different than the clothes worn by others. The French king wears a gold crown. The warrior wears chain mail, another wears metal armor. The French maid wears a very interesting sort of hat that comes down over her ears. There is quite a long scene in French, and I dont understand a word. The Frenchmen wear more colorful clothes than the English. They wear more blues, especially. The hanging of the man by Henry brought back of a flashback of a promise he made not to hang thieves. This shows how Henry is going against anything he had promised. When it began to rain when they were outside hanging the man, they all pulled capes out from behind them and covered their bodies. It must have been the worlds first poncho. When the French troops arrive at the hillside, they are all decked out with shields, armor, and horses. There are arrows flying through the air how can they be su ...

Saturday, October 19, 2019

Intercultural Communication Plan for a Multicultural Classroom Research Paper - 1

Intercultural Communication Plan for a Multicultural Classroom - Research Paper Example As such, it presents a complicated challenge given the fact that it is hard to distinguish what role should an educator play in a place comprising of such many and different believes and values systems. With that respect, this paper intends to set forth an educational plan whose aim is to build awareness as well as practical skills for facilitating cross-cultural communication. In this paper, development of an intercultural communication plan for a classroom with multicultural backgrounds and will focus mainly on a set community in Australia with both visible and invisible cultural backgrounds and most of the learners are thirteen year olds. Demographic description of this community predicts that, the type of diversity that is expectable in the classroom is both visible and invisible (Hinkle, 2001). In invisible diversity or culture, there is a composition of social cultural assumptions and beliefs that most people are unaware thus unable to examine intellectually. Additionally, in i nvisible diversity, an educator does not always teach in explicit instruction. In this community, there are immigrants, natives, and Australian emigrants who form the background of this community. For an educator, it is always important to be conversant with the backgrounds and lives of the students. This is mainly because, lack of this awareness leads to underdevelopment of the teacher’s compassion and sensitivity for each student (Meyers, 2006). A pragmatic intercultural communication plan for a multicultural classroom will set out a platform where students will learn both invisible and visible cultures in their instruction (Yin, 2003). The educator will teach means of recognizing socially acceptable languages and behaviors. An educator will also teach the learners the relevant time and place for applying or using these behaviors and languages. Studies show that, in a multicultural classroom or in a diverse culture, it is of paramount importance to practice and consider eff icient and effective multicultural communication within learning institutions (Meyers, 2006). As a result, promoting communication enhances tolerance, fosters interaction, and improves chances of all students for a better education. Teachers should be conversant with their own skills of communication and be in a position to help students learn effective means of communication. Documented evidence asserts that, English Language Learners in a multicultural classroom are at risk for alienation from the rest of the peers. In addition, they encounter misunderstanding by their educators and can easily lose opportunities if they lack awareness of cultural norms (Wiseman, 2003). With that sense, research on this community finds it worth noting that learners are in need of becoming observers of social cultural norms, pay attention to daily routines, expressions employed in everyday conversations and regard social status of the respective community (Fish, 2007). Afterwards, teachers must make sure that students identify why inhabitants use certain expressions while others are not in numerous situations. Onwards, students should be in a position to use their gained skills and knowledge while communicating with other people (Wilkinson, 2004). It is the duty of an educator to ensure that students learn the appropriate time to employ particular expressions. Researchers emphasize that that students are astute and consistent watchers of people (Meyers, 2006).

Friday, October 18, 2019

CA 1 RED Essay Example | Topics and Well Written Essays - 250 words - 1

CA 1 RED - Essay Example There is no bias in the use of this mode of assessment. If the learning tasks are easy, then test items will be easy. The objective of the criterion-referenced test is to get the sketch of the specific knowledge and expertise that every learner can express. Such information is important during the planning process for both the individual and groups. This performance based assessment demands the learners express their skills in writing a given assignment such an essay. In an essay writing, for instance, a learner is required to show his/her capacity to write clear paragraphs with correct and in the given format. It involves a process where the learners are required give a project either oral, written or in a group. It is a great way to deliver the curriculum that demands the inclusion of the students’ ideas and their total involvement. The guidelines given enable the students to comprehend the various essay topics and the writing formats. The formal mode of assessment has information that supports the elucidations from a given test. The method is designed with various components that involve analysis, design, development, implementation, and evaluation of the learning process. The informal mode of assessment is content and performance driven as opposed to data. The method enables the teachers to recognize the learners’ behaviors, document performance, and make decisions, hence enabling them make informed decisions. Running records, for example, are informal assessments since they tell how good a learner is reading a particular book. Scores such as percentage of words read correctly is an example of informal assessment. They are largely used to inform the instruction (Deiner

Movie Review of Requiem for a Dream Essay Example | Topics and Well Written Essays - 750 words

Movie Review of Requiem for a Dream - Essay Example Hence, what really disturbs the viewer is the strong graphic representation of the painful and miserable conditions that addictions can lead human beings to. All the four characters in the movie, i.e. Sara Goldfarb, her son Harry, Harry’s girlfriend Marion and his friend Tyrone, are shown addicted to drugs. Although Sara’s addiction to drugs begins later in the movie, she is shown addicted to the idea of being on a television show. She is so obsessed with the idea of being on TV that her whole life revolves around it. She spends most of her time watching the TV show, and fantasizing about being on that show. Her obsession with the dream becomes so strong that when she gets a call to tell her that she is chosen to be invited on the show, she starts taking pills to reduce weight in order to fit in her favorite red dress, that she plans to wear on show. She gets addicted to the weight loss amphetamine pills and becomes delusional and psychotic. Through the character of Sar a, the movie has sent a message that addictions are not only related to drugs but are also related to media, weight and looks. The movie has also dealt with the idea of how addiction can lead human beings towards psychiatric problem, crime, aggression and sex. For example, Harry thinks that he will get out of bad life of addiction and illegal drug trade once he makes enough money to start a business with Marion. However, when things do not go as planned, he convinces Marion to have sex with her psychiatrist in exchange of money. This brings a rift in their relationship and from this point on, things start going out of control and their dream start falling apart by blows from the ‘reality’. In this way, the movie represents the menace of drug addiction and how it makes the characters desperately enslaved to the addiction. However, the real theme of the movie is the true cause of the addiction, which lies in the lack of bonding and love in the family. Theme The underlying theme of the movie is lack of bonding between parents and children. Sara and her son Harry are shown getting emotionally distant from each other after death of Sara’s husband. Sara protects her son Harry even when she knows that he makes money by selling the TV set that he steals from home. This shows the helplessness of a mother. The fear of losing him and his love keeps her from confronting him. She is forced to find a companion in a TV set. She believes that her involvement in weight reduction to fit in a red dress that she wore on Harry’s graduation, has renewed her interest in otherwise miserable and empty life. Harry is also shown losing his girlfriend Marion, to addiction. The dependence on drugs and the sexual favors for money makes Marion feel miserable and filthy. Tyrone is shown missing his mother and dreaming of making her proud one day. However, his dream never becomes a reality as his involvement in drug trade lands him in prison. Lack of love and family makes Tyrone more addicted and enslaved to drugs. In this way, every character thinks that once they get what they dream, they will leave the drugs. However, they fail to realize that it is the drugs that are driving them to desire the delusional world, and the addiction will never let them get out of the vicious cycle of ‘just one more time,’ which is a common habit of addicts. The picture of despair, misery and helplessness of the characters in the

Thursday, October 17, 2019

The corporate history of Canadian Tire Corporation Case Study

The corporate history of Canadian Tire Corporation - Case Study Example In relation to the study the company which has been selected is the Canadian Tire Corporation. Canadian Tire’s extensive range of products and services reached each and every house in Canada over the last two decades and the company made every Canadian life easier. The firm operates an interconnected business network including petroleum and apparel products, financial services, hard goods, and automotive services. The corporation’s retail operations include Canadian Tire, Canadian Tire Petroleum, Mark’s Work Wearhouse, PartSource, and FGL. The firm is well known for its creative advertising and acquisitions and partnerships. The organization’s corporate history indicates that nearly 85% of the Canadian population lived within a 15 minute drive of their local Canadian Tire store by the end of the 20th century. The company has been introducing timely business changes and new customer service facilities since 1922 and this innovativeness assisted the company to complete 89 years of successful Canadian market operations. Canadian Tire Corporation is a family oriented business organization and the firm serves its customers with flexible business hours and a range of other benefits. Recently, the company has introduced MasterCard facilities and other banking facilities in order to assist customers to make their purchases more convenient. The company offers extensive retail offerings including automotive, sports and leisure, and home products under one roof, and hence the Canadian Tire management provides better shopping experiences to its customers. The Canadian Tire possesses a large group of dedicated and efficient employees from different parts of the country and this workforce aids the company to make sure that its products and services are accessible to everyone. Canadian Tire’s corporate information shows that it gives extensive employment opportunities in every region of the country and provides the Canadian society with a ra nge of welfare programs. Therefore, the organization benefits the nation as a whole by offering cheap and quality products to Canadian population and by contributing to the economy’s overall GDP growth. However, like any other leading organization, the Canadian Tire Corporation has some pitfalls and disadvantages for its customers, employees, and society. The company has been often criticized for its service issues. Majority

Thailand Research Paper Example | Topics and Well Written Essays - 3000 words

Thailand - Research Paper Example Poverty level in the country has declined by a big margin. Nevertheless, economic inequality has dramatically increased (Mason 278). The economic progress in the country is evident in the continuous improvement of the non-economic indicators that translate to the well-being, like, life expectancy, infant and maternal mortality rate, and literacy levels. However, the country has not recorded good progress in the education system. It requires reforms in several areas like in the political and corporate governance in order to have a smooth run in economic progress. Introduction Thailand has been among a group of East and Southeast Asia that have formed the center of research because of their outstanding economic performance. She forms part of discussions and is a determinant of economic growth. Just like the other economic pacesetters of Asia, Thailand has employed the common development strategies and their immediate outcomes have not been much different (Brewer and McEwan 123). The co untry has prospered under the globalizing strategy. It lies in the middle-income developing countries in several aspects like; the country was never colonized. This is a unique experience in the states of South East Asia. The country has also been courageous to embark in trade and investment integration with the rest of the world. These interactions in conjunction with macroeconomic policies have steered Thailand towards economic stability. Long-term developments In 1945 at the end of the Second World War Thailand was among the poorest countries in Asia. Its economy remained stagnant for about a century since it had greatly suffered from the war damage. Many economic analysts rated the country as poor. However, in the mid of 1990s, roughly a half a century later, the country replaced all these negative assessments by dramatic economic progresses, following the foot steps of Korea, Taiwan, and Hong Kong. Thailand within a short span achieved a rapid economic growth, macroeconomic sta bility, and a steadily declining poverty rate. These made the country acquire consideration as a champion of sustained development (Chaloemtiarana 79). Thailand’s long-term economic developments have had a unique character of high levels of investment and deep trade with world countries. Thailand has maintained an economic stability for a long time, since it has never recorded a negative growth for the last four decades. Thailand’s economic growth is worth emulation starting with its central bank, which got awards for having the most competent and stable management. The crisis that occurred in 1997 to 1998 reversed the country’s fine economic progress and poverty incidences began rising. The exchange rate collapsed and the financial system was largely bankrupt. The economic damage due to this crisis was substantial. It eroded some of the gains that Thailand had made (Mason 312). Since the start of the crisis, Thailand’s economic recovery was moderate and her real GDP was slightly below the log-term trend rate. However, the main question as at now is; where did this rapid economic growth source from. The growth framework has focus on the determinants of aggregate supply as relevant on the specific periods. The Thailand’s impressive growth lies on the primary growth of capital stock. The domestic and foreign investment grew rapidly, but the growth rate for the foreign investment was more rapid. This foreign investment has played an important role in introducing new technology and development of export market. The quantitative importance of foreign investment in Thailand’s capital stock accumulation is prone to exaggeration. The main factors that have contributed to the Thailand’

Wednesday, October 16, 2019

Training Employees in Samsung Essay Example | Topics and Well Written Essays - 1500 words

Training Employees in Samsung - Essay Example 1. To identify the most appropriate training programme for Samsung 2. To recognize the effect of training in the company 3. To evaluate the shortfall or loopholes in the training programs in the company 1.2 Research Question The research question has been designed to identify the responses regarding the issues raised as the research objective. Question: What should be the framework or structure of training in Samsung for developing the skills of the employees? 1.3 Rational of the Study The reason behind choosing Samsung with regards to effective training methods is because it is one of the leading companies not only in Asian but also in the global market. This signifies that Samsung requires enhancing the skills of its employees and nurturing their knowledge base in order to always remain in a competitive position in the world market. However, to fulfil this objective the company needs to provide extensive training to its employees. Training is the tool not only to enhance the skill levels of the employees, but also to welcome their ideas and utilise them to develop innovative products that would reduce shortage of products, maintain goodwill and increase profit margin of the company. II: LITERATURE REVIEW 2.1 Introduction Human Resource Management (HRM) involves management of the workforce. It also includes selecting, training, mentoring and rewarding the employees. HRM comprise motivating the leadership qualities of the individuals in the organisation and maintaining a fair and healthy work culture. HRM is an important activity in every organisation and its impact on the organisations has been supported by numerous theories and approaches. It plays a significant role in the achievement of the company by incorporating the interest of the organisation and the human resource (Randhawa, 2007, Dransfield, 2000). In HRM, training and development is meant to boost the performance of the workforce. The employees are put through a learning process that would assist th em to acquire valuable knowledge, help them to improve their skills, rules, and concepts, by changing their attitude and their behaviour to work in the organisation. It is also called human resource development, learning and development or training and development (Rao, 2009, Talwar, 2006). In HRM there are various different aspects, but this study aims at evaluating only training and development function of HRM and its significance in the organisation. The motive is mainly to study the magnitude of training the various theories which different authors have stated to explain them. This will assist in capturing different point of view regarding training and development in the organisation. In this study the focus would be towards the training and development of the employees of Samsung because this company has skilfully managed its operations around the world and has become a global leader, off course not without training its employees well. However, in the present volatile market pa st training strategies are not going to impact, so an analysis of different training methods will assist in identifying the most appropriate training method for Samsung’ employees. 2.2 Importance of Training Training assists in improving the knowledge and prepares the employees for new upcoming challenges. It is very important to train the employees to compete in the global challenges. Previously the training and development processes were criticized because of the lack of proper evaluation process (Mathison, 2004). The yearly fixed targets were set for training and it was delivered accordingly, but none of them bothered to evaluate the results. So neither the positive effect of training was revealed nor was the negative aspects scrutinized and changed. No feedback system was there to take the

Tuesday, October 15, 2019

Thailand Research Paper Example | Topics and Well Written Essays - 3000 words

Thailand - Research Paper Example Poverty level in the country has declined by a big margin. Nevertheless, economic inequality has dramatically increased (Mason 278). The economic progress in the country is evident in the continuous improvement of the non-economic indicators that translate to the well-being, like, life expectancy, infant and maternal mortality rate, and literacy levels. However, the country has not recorded good progress in the education system. It requires reforms in several areas like in the political and corporate governance in order to have a smooth run in economic progress. Introduction Thailand has been among a group of East and Southeast Asia that have formed the center of research because of their outstanding economic performance. She forms part of discussions and is a determinant of economic growth. Just like the other economic pacesetters of Asia, Thailand has employed the common development strategies and their immediate outcomes have not been much different (Brewer and McEwan 123). The co untry has prospered under the globalizing strategy. It lies in the middle-income developing countries in several aspects like; the country was never colonized. This is a unique experience in the states of South East Asia. The country has also been courageous to embark in trade and investment integration with the rest of the world. These interactions in conjunction with macroeconomic policies have steered Thailand towards economic stability. Long-term developments In 1945 at the end of the Second World War Thailand was among the poorest countries in Asia. Its economy remained stagnant for about a century since it had greatly suffered from the war damage. Many economic analysts rated the country as poor. However, in the mid of 1990s, roughly a half a century later, the country replaced all these negative assessments by dramatic economic progresses, following the foot steps of Korea, Taiwan, and Hong Kong. Thailand within a short span achieved a rapid economic growth, macroeconomic sta bility, and a steadily declining poverty rate. These made the country acquire consideration as a champion of sustained development (Chaloemtiarana 79). Thailand’s long-term economic developments have had a unique character of high levels of investment and deep trade with world countries. Thailand has maintained an economic stability for a long time, since it has never recorded a negative growth for the last four decades. Thailand’s economic growth is worth emulation starting with its central bank, which got awards for having the most competent and stable management. The crisis that occurred in 1997 to 1998 reversed the country’s fine economic progress and poverty incidences began rising. The exchange rate collapsed and the financial system was largely bankrupt. The economic damage due to this crisis was substantial. It eroded some of the gains that Thailand had made (Mason 312). Since the start of the crisis, Thailand’s economic recovery was moderate and her real GDP was slightly below the log-term trend rate. However, the main question as at now is; where did this rapid economic growth source from. The growth framework has focus on the determinants of aggregate supply as relevant on the specific periods. The Thailand’s impressive growth lies on the primary growth of capital stock. The domestic and foreign investment grew rapidly, but the growth rate for the foreign investment was more rapid. This foreign investment has played an important role in introducing new technology and development of export market. The quantitative importance of foreign investment in Thailand’s capital stock accumulation is prone to exaggeration. The main factors that have contributed to the Thailand’

Tiger Beer Essay Example for Free

Tiger Beer Essay Launched in 1932, Tiger Beer became Singapores first locally brewed beer. It is a 5% abv bottled pale lager. As APBs exclusive flagship brand, it is available in more than 60 countries worldwide including the USA, Canada, Australia, New Zealand and various countries in the Middle East, Europe and Latin America. ] Distribution ? APB has breweries in Singapore, Malaysia, Thailand, Vietnam, Cambodia, China, New Zealand, Papua New Guinea, India, Sri Lanka, Laos and Mongolia. The company has a strong market share in several countries within the Asia Pacific Region, primarily in Singapore, Malaysia, Vietnam, Cambodia, Papua New Guinea and New Zealand. ? In Malaysia, Tiger Beer is produced and marketed by Guinness Anchor Berhad (GAB). ? In the USA, Tiger Beer’s brand is well known in New York and San Francisco. ? In the UK, Tiger Beer can be found in more than 8,000 premium bars/clubs and distribution outlets in its major cities. ? Tiger Beer gained considerable popularity in Detroit in October 2006 due to the Detroit Tigers Baseball Teams entrance into the 2006 World Series. SWOT [pic] Brand position Brand Positioning as is seen from the communications of the Brand selected and their major competition Position Tiger beer as a brand and product that will allow consumers to STAND OUT with Tiger beer. The STAND OUT with Tiger beer campaign idea demonstrates how consumers can beunique, cool and contemporary. With great innovation on the product, it aims at reaching out toconsumers ¶ wants and needs. The strategy was executed mainly in the digital social space withendorsements from key opinion leaders and social influencers online. According to Synovate,perception of Tiger as a beer for good times and fun increased by 14 per cent; an additional 12per cent of consumers described the beer as one my friends approved of; and consumption among young adults increased by six per cent. Competitive Analysis Model The competition faced by Tiger Beer versus its competitors is analyzed using Porter s Five Forces Model to explain Tiger Beer competitive position and strategic advantages. [pic] Competitive Rivalry. The intensity of rivalry helps decide the extent of the value of brands and products in which will create head -to-head competition. It also determines the attractiveness of the industry. Tiger Beer is internationally renowned to be an exotic beer with high quality control. There are many other international beers such as Heineken, Carlsberg, Suntory and Tsingtao etc. With so many brands available, it will create a competitive industry. Their prices te nd to be similar and competition focuses on advertising, promotion and product development. Tiger Beer faces strong competitors and fight for higher market share through Differentitation. The traditional approach often takes to keep in terest and increase consumption is by advertising, POS materials and other promoters. Tiger Beer stands out by appealing to consumer and generates interest in its brand. Tiger Beer targets younger consumers which associate themselves with brands that are seen as cool and trendy by organizing a  µstand out with Tiger Beer ¶ campaign i. e. introduction of three designer bottles based on artistic and music themes. Tiger Beer also in touch with community of over 20,000 Tiger fans in Facebook that created more buzz and had fans share their views plus other activities in bloggers, Twitter, Flicker and YouTube. Threat of New Entrants In every industry, existing and potential competitors play a part in its profitability. The threat of new entrants is highly dependable on industry entry barriers. Newer brands such as Cheese Beer and Corn Beer have emerged. They all has managed to keep transportation cost low and hence, is able to keep beer prices at minimal. Cheese Beer The US Miller Beer Company develops beer which has the unique rich milk fragrance and light malt taste which is very delicious. It is made of the lacto -protein whey as main raw material, malts, and hops which ferments to produce the cheese beer. Corn BeerJapan launched the corn beer, a corn-based materials which is pure in taste,limpid color, low alcohol, low calorie, high in protein, vitamins and effective in human nutrition. Threat of Substitutes The threat that can subst itute a product highly depends on the price allocated to the product and its performance. This allows consumers to turn to different products to satisfy the same basic need. In the beverage industry, there are many substitutes product to Tiger Beer. Wine and hard liquor is highly available on the market. On other extreme, a substitute can be simply a Coca-Cola or a cup of coffee. Bargaining Power of Suppliers The ability to charge customers different prices with differences in the value created for those buyers usually indicates that the market is characterized by high supplier power. Tiger Beer minimize the power of suppliers through close coop eration with the raw materials suppliers and thus minimize the cost impact. Bargaining Power of Buyers With many other brands in the market, consumers have a large variety of brands to choose from. Many bars and restaurants usually carry several brands of beers. However, through effective marketing and promotion, Tiger Beer create the demand for its products and w ith that value instilled in the name, many bars and club will want to carry the brand . Entry to new market. The Indian beer market is in the focus of many players. The latest entry is the launch of Tiger beer, a fine beer brand Indians who have visited Singapore or Thailand might know already. The beer is also not totally new to the Indian beer market, as it was imported into India, but was only made available at exclusive premium outlets. India is the 10th country in the Asia Pacific region where the award-winning Tiger will be brewed, Asia Pacific Breweries Aurangabad Limited (APBAL), a subsidiary of Asia Pacific Breweries Limited (APB), said during the launch of Tiger beer in Mumbai. Tiger was first brewed in 1932, and is today available in more than 60 countries. In view of Indias growing beer market, rising disposable incomes of the consumers and favourable demographics, it is timely that we now offer Tiger as a premium option to the many discerning Indian drinkers who are becoming increasingly experimental in making an informed choice. Other brands offered by APB in India are Barons Strong Brew and Cannon 10000 which cater to the strong beer segment of the Indian beer market, whereas Tiger is positioned for those consumers who want a lower alcohol content. In additional,tiger beer expanding in Canada and successful entry into the United States. Molson, the largest beer importer in Canada, is set to market, distribute and sell the brew originating in Singapore, which is now available only in Ontario and British Columbia. Canadians consume the equivalent of 7 billion cans of beer annually. That is 33 times the size of the Singapore beer market. Positioning itself as a premium pan-Asian beer, Tiger is aiming to carve out a niche for itself in the North American market.

Monday, October 14, 2019

The Role of External Auditors in Accounting

The Role of External Auditors in Accounting Introduction Auditor liability has always been one of the main concerns of the public. Often falling under common law, tort law or both, public liability claims can arise out of unfair or unjust practices when it comes to auditing a companys financial standing (Lambe, 2007). The auditors can be held liable for approving a fraudulent account on behalf of a business organisation. Auditor liability, or failure to detect and report illegal manipulations of financial statements, could lead to serious damages for the shareholders of the company (Schaefer, 2004). In most cases, a fraudulent act exists when one or more auditors, on behalf of a company, approve inaccurate accounting for the reason of tax evasion or to strategically register for an Initial Public Offering (IPO). To prevent moral hazard associated with auditor liability, the British Serious Fraud Office has imposed heavy penalties on swindlers and white collar criminals in order to shut down or suspend suspicious businesses (Country Updates, 1997). On the other hand, auditors who are found guilty of professional negligence may end up facing a monetary loss or penalty through punitive fines and/or the confiscation of their licence to practise in the United Kingdom. According to Priddy (2011, p. 59), as stated by Michael Power of the London School of Economics, it was not reasonable to expect auditors to be challenging business models and raising strategic issues with finance directors, because that was not their job and if we want it to be their job, then things would have to change quite substantially à ¢Ã¢â€š ¬Ã‚ ¦ The direction of my comment is that we might be expecting too much from this black box [External Audit] in terms of what it actually delivers. In response to Powers statement, this report will first discuss the roles and responsibilities of external auditors and then provide a brief overview of corporate governance. In line with this, there is a strong need to go through some business theories and concepts that will enable readers to have a better understanding of how businesses function in the corporate world. Based on the individual offices and duties of shareholders, internal and external auditors, the board of directors, and the Chief Executive Officer (CEO), this report will explain the limitations of the roles and responsibilities of external auditors when it comes to detecting and controlling fraudulent business activities. Roles and Responsibilities of External Auditors External auditors are professionals who are hired to conduct audits based on the rules or laws on creating financial statements for the government, a private company, or a legal organisation (The Institute of Internal Auditors, 2011). According to Kwok (2005, pp. 151-161), accounting irregularities can be made for the purpose of tax evasion or theft, for instance, creating ghost employees, skimming from the proceeds, or stealing an asset. Specifically in the United Kingdom, Chartered Accountants and Certified General Accountants are the groups of individuals who are qualified to conduct external auditing. According to Poorter (2008), auditors practising within the United Kingdom have to perform a special duty of care towards a liable third party. This means that external auditors are made responsible for the fair, just and reasonable treatment of the companys external shareholders. In case of a binding contract between the company and its shareholders, it is a general rule for the external auditor(s) to fulfil his or her statutory duty as an auditor to shareholders collectively. As a standard operating procedure, external auditors are expected to evaluate the financial statement of an organisation on a yearly basis (Hicks and Goo 2008, p. 261). Upon going through the financial statement of a government, a private company, or a legal organisation, external auditors are expected to come up with a professional opinion regarding the financial statement presented to them by the organisation (Kwok 2005, p. 178). Correspondingly, external audit committees are expected to determine whether the accountants are able to adapt along with generally accepted accounting principles or whether they have made appropriate judgments, estimates, and complete disclosures in the financial statements (Hicks and Goo 2008, p. 259; Kwok 2005, p. 178). Given that the external auditors find something inappropriate in the presented financial statement, they should report their complaints to the company to allow the board of directors to review. As part of protecting the company and its shareholders, external auditors are expected to determine any possible damages that could result from the company owners major business decisions. Considering that external auditors are liable to both the company for which they work and the shareholders of the company as a third party, external auditors should avoid coming up with a biased judgment by making use of their best professional knowledge to protect the interests of everyone involved. Although internal and external auditors technically have the same roles and responsibilities when it comes to auditing a financial statement, an important difference between the two is that an external auditor is an independent party outside the organisation being audited (The Institute of Internal Auditors, 2011). Another difference between internal and external auditors is that the general public, large groups of investors, and government agencies have the tendency to rely more on the audit report coming from the external auditors than the report presented to them by the internal auditors. Brief Overview with regards to Corporate Governance According to Colley et al. (2005), corporate governance refers to a system of authoritative direction or government which carefully examines the individual roles and responsibilities of the business owners, the shareholders, the board of directors (executive and non-executive), the CEO, and accountants. Since corporate governance is composed of both neutral and objective corporate values (Solomon 2007, p. 4; Haller and Shore 2005, p. 18), a lot of people consider good corporate governance as an acceptable model of business ethics and a moral duty on the part of a corporations executives and board of directors. Board of Directors Aguilera et al. (2008) revealed that corporate governance is often considered as the basis for making policy for a business organisation in relation to the actual structure of the board, the activism of the shareholders, and overall business performance. With regards to organisational policies and procedures, the board of directors within a business organisation has a significant role to play when it comes to successfully implementing corporate governance (Nordberg, 2007; Kim and Nofsinger 2006, p. 41). For this reason, the members of the board are required not only to carefully analyse the corporate financial report, but also to meet regularly to discuss the proposed strategic plans and issues that will significantly affect the success of the business (Solomon 2007, p. 103). Executive and Non-Executive Directors The board of directors is composed of executive and non-executive directors. As part of strengthening corporate governance, the companys board of directors is given responsibility for making important decisions in the best interests of the company and its shareholders (Mallin 2007, p. 125). Aside from determining corporate goals, developing strategic plans that will enable the business to meet those corporate goals, and implementing organisational policies to meet the businesss objectives (Mallin 2007, p. 124; Kim and Nofsinger 2006, p. 41), the board of directors is responsible for controlling operations, making decisions for resource acquisitions, and driving improvements in the quality of service (Carpenter, 1988; Pfeffer and Salancik, 1978). Since not all of the members of the board are directly or actively engaged in the daily business operations of a company, readers should be aware of some crucial distinctions between the roles and responsibilities of executive and non-executive directors with regards to corporate governance. It is common business knowledge that the executive directors are the ones who are directly involved in the daily business transactions that occur within and outside of the company, whereas the non-executive or outside directors are not. Despite the differences between the responsibilities of executive and non-executive directors, the Commission has publicly announced under the Action Plan Modernisation of company law and enhancing corporate governance in the European Union that all of the board of directors (regardless of whether they are executive or non-executive) should at all times ensure their collective responsibility when it comes to monitoring the financial and non-financial information behind the corporation (Communication from the Commission to the Council and the European Parliament, 2003). Unlike the non-executive directors, the executive board of directors can easily access valuable business information such as corporate financial statements. By accessing this information, executive directors are able to examine company records on daily sales and expenses and other major business transactions like public shares, loans and investments. In the process of going through the companys financial statements, executive shareholders should be on the lookout for any signs of unusual business activity that could adversely affect the long-term operation of the business. Similar to the role of executive directors in corporate governance, it is the role and responsibility of the non-executive directors to reduce conflicting interests between the actual shareholders, the executive board of directors, and the management team who works behind the company (Solomon 2007, p. 82 and 92). For this reason, Waldo (1985, p. 5) strongly suggests that the best way for the executive and non-executive directors to perform their duty effectively is to actually go through the companys business information, including the corporate financial statement. Even though the non-executive directors are inactive in terms of monitoring the daily operations of a company, several studies revealed that the non-executive directors are expected to strictly and regularly monitor the progress of the overall business, its legal and ethical performance, strategic choices and implementation techniques used by the top management, including the appointing or removal of the members of the senior management aside from giving the rest of the board members some advice with regards to the strategies used in enabling the company reach the corporate goals and business objectives (Solomon 2007, p. 82; Carpenter, 1988)  [1]  . By closely monitoring the daily activities of the companys executive directors, the non-executive directors should make the executive directors accountable for the companys shareholders and external investors (Mallin 2007, p. 132; Solomon 2007, p. 88; Fama and Jensen, 1983). Solomon (2007, p. 86) revealed that there is a link between the role of non-executive directors and the role of institutional investors in the sense that the non-executive directors effort in ensuring that the business is free from any forms of corruption could somehow protect the socio-economic welfare of the companys public investors. Several authors suggest that the non-executive board of directors is strongly encouraged to actively participate in the board meetings with the rest of the directors and shareholders to protect the interests of the public investors (Mallin 2007, p. 125; Solomon 2007, pp. 86-88). Roles and Responsibilities of Accountants In general, accountants are not only made responsible for producing an accurate, true, and fair financial statement that not only enables the senior managers to make important business decisions, but also give the public stockholders the privilege of accurately monitoring their investments in the company. Because corporate accountants maintain accurate and transparent financial accounting information at all times, accountants play one of the few most important roles in the development of effective corporate governance. To ensure that the company is able to come up with an accurate corporate financial statement, the business organisation should hire internal and external auditors who are qualified in monitoring fair and true financial values. Discussion Romano (1996) explained that the shareholders have the authoritative power to influence the manifestations of legal and/or illegal business transactions. Given that most of the corporate shareholders are the business owners, these individuals are the ones who are in the position to select and elect their preferred members to the board for the purpose of managing the business affairs. On the other hand, it is the board of directors who appoint, hire, and delegate specific roles and responsibility to a selected CEO. In a normal business setting, it is the CEO who is in charge of managing the actual business operations. For this reason, the CEO is often made accountable not only to the business owners but also to the board of directors. Upon analysing the corporate structure that is commonly used in large-scale companies, it is often the business owners together with the voluntary participation of the executive directors, the CEO, and the accounting manager who have the authoritative power to manipulate the companys official business documents. By going through the corporate financial statement, the non-executive board of directors should search for any signs of unusual business activities that could create serious consequences for the company. To prevent coming up with a biased judgment, the non-executive board of directors should consult with the internal or external auditors regarding any signs of unusual business transactions. Due to the flow of authoritative power within a business organisation, it is possible on the part of the shareholders, the members of the board, and the CEO to enter into business collusion with the business owners. By engaging the cooperation of accountants, business owners and corporate leaders may easily manipulate corporate financial records at the expense of the stakeholders and external shareholders. According to Becht, Jekinson and Mayer (2005), collusion among corporate leaders makes corporate governance one of the most controversial topics related to business and finance. Cassill and Hill (2007) explained that according to the principles of corporate governance, by voting on major financial decisions, the board of directors is made responsible for ensuring a balance between the business owners monetary interests and actual profit-sharing with the companys employees and the rest of the other stakeholders. Several authors agree that corporate governance should be based on neutral and objective corporate values (Solomon 2007, p. 4; Haller and Shore 2005, p. 18). Since there is plenty of opportunity for the business owners to manipulate the board of directors to support their own personal interests, the concept of corporate governance can easily be violated at the expense of the majority of employees and public investors. A corrupt business culture is one that not only does not balk at accepting bribery, but may also be open to the practise of illegal offshore financing or the intentional manipulation of the actual financial statement (Dine, 2008). Within a business organisation, the board of directors and executives are among the few individuals typically behind the practise and development of a corrupt culture. For this reason, Dine (2008) revealed that European corporate law, following the UK model of corporate governance, is focused on investigating shareholders and the board of directors. Two good examples of real-world scenarios in the history of finance are the cases of WorldCom and Enron. In the case of WorldCom, its board of directors failed to fulfil their duty in terms of closely monitoring the executives management activities (Monks and Minom 2004, p. 509). This made them unable to protect the interests of their stakeholders. In the case of Enron, a total of 18 directors, including the CFO, ex-CEO, chief accounting officer and chief risk officer, voluntarily participated in the CEOs decision to manipulate the companys financial statement (Kim and Nofsinger 2006, pp. 52-53; Davis, 2005; CNN Money, 2004). Limitations in the Roles and Responsibilities of External Auditors when it comes to Detecting and Controlling Fraud Activities in Business Although the general public, government agencies, and a large number of investors rely heavily on the audit reports coming from the external auditors, there are still some limitations with regards to what the external auditors can do in detecting and controlling fraud activities that could happen within a profit or non-profit organisations. Hicks and Goo (2008, p. 258) explained that it is the managements responsibility to prepare complete and accurate financial statements and disclosures in accordance with the financial reporting standards and applicable rules and regulations. Therefore, it is wrong to believe that the external auditors are solely responsible for preventing the incidence of financial fraud. As stated by Kwok (2005, p. 168), an audit does not guarantee the detection of all material misstatements because of such factors as the use of judgment, the use of sample testing, the inherent limitations of internal control, and the fact that much of the evidence available to the auditors is persuasive rather than conclusive in nature. Since external auditors are auditing financial statements that are presented to them by the corporate accountants, it is expected that external auditors could only provide the general public, investors, and government agencies with a reasonable assurance that the audited financial statements are free of misstatements, alteration of the accounting records, honest accounting errors, or falsification of the financial statements. Based on the Courts decision in the case of Caparo (Richards, 2004), in the absence of any contract between the auditor(s) and either the investor, a potential investor, or any other third party involved, no duty of care will be owed.  [2]  Despite the external auditors responsibility to double check the accuracy of a companys financial statements, external auditors who work for a public company owe no duty of care outside the existing shareholders who purchase stocks in reliance on a statutory audit. It simply means that the external auditors can only be held liable to investors, potential investors, or any other third party involved only if there is a written contract stating that the external auditor owes them duty of care. In fact, external auditor(s) who are held liable for pure economic loss are considered as a case of simple negligence under contract law. Schaefer (2004) explained that the case is different when the auditor(s) are being judged based on tort law because tor t law does not include a pure economic loss as a negligent act. Considering the difference between a contract law and a tort law, external auditor(s) who are found guilty of negligence will be held responsible and will be obliged to pay for the victims loss. In case an external auditor violates any of the auditing guidelines and is found guilty, the accused external auditor(s) will not be held responsible to compensate the victims loss because of the fact that tort law excludes liability of a pure economic loss. In other words, the victim of a wrong audit can demand a claim against those people guilty of the wrong audit under a contract law (Ewert, 1999). Given that the general public can prove that both external auditor(s) and the managers of the company colluded against the outside stakeholders, the stakeholders of a given company can demand a claim against both the parties involved. Even though external auditors can be held liable for negligence and misconduct, there is still a limit as to whether an auditor can be held liable for a misconduct or not. For example, in case an external auditor has not provided the actual report to the company he works for, any law suit filed during the time frame wherein the external auditor has not yet submitted his final report will not be considered punishable by the Court, because technically there is no duty of care that exists between the company and the external auditor(s) (Poorter 2008, p. 70).  [3]  In other words, the duty of care between an external auditor(s), the company, and the shareholders of the company will only exist when the external auditor has already submitted his final report to his client, the company. Basically, the extent of auditor liability will depend on the Court judgment and the degree of damages caused by the act of negligence that has occurred in the process. In line with this, it is possible for an act of negligence to occur when the external auditor(s) and the owner or manager of the company agree to underestimate the actual revenue of the company in order to pay lower taxes to the government; or both parties may agree to overvalue the company in order to be able to get a better price when selling the companys shares to the public. Since there are different ways in which auditor liability may occur, the Court will be responsible for the investigation behind the said act of negligence. According to Schaefer (2004, p. 9), external auditor(s) with a binding contract towards the third party involved should not be held responsible for the loss that may occur in the purchase of stocks as long as the auditors did not take any actions that could trigger the decline in the stocks value. Therefore, external auditor(s) who did not manipulate the value of stocks are free from being held responsible in case the value of stocks depreciated. Rather than considering the loss of a public investor as a result of negligence on the part of the external auditors, the public investors are expected to be responsible enough to study the market first before they invest their money in the stock market. In case the general public is able to prove that external auditors were behind the manipulation of stock prices in such a way that they depreciated over time, then the Court has the option to make the company, including those people who were directly involved in the process of the fraudulent act, partially liable for the victims monetary losses. However, if a buyer was able to sell his share of stocks at an overvalued price for the reason that the internal and external auditors were not able to accurately detect the true market value of the companys stocks, the person who bought the overpriced stocks will have to compensate for the loss simply because it was the buyers decision to purchase an overpriced share of stocks. Conclusion The personal obligations of external auditors to the general public or public investors is limited for the reason that the roles and responsibility of the external auditors are limited in terms of determining whether the accountants were able to present the financial statement based on the rules or laws accepted for the development of financial statements for the government, a private company, or a legal organisation. Likewise, external auditors are also made responsible for detecting any potential accounting irregularities made for the purpose of tax evasion or theft by the creation of ghost employees, skimming of the proceeds, or theft of an asset. Under the principles of corporate governance, the board of directors (executive and non-executive directors), the Chief Executive Officer (CEO), and the accountants have different roles and responsibilities in protecting the socio-economic welfare of the corporate stakeholders, including public investors. In case of a fraud scandal, it would be a misconception to put the blame purely on external auditors, since the board of directors (executive and non-executive directors), the Chief Executive Officer (CEO), and the accountants share responsibility in protecting the socio-economic welfare of the corporate stakeholders, including public investors.