Saturday, September 7, 2019
Patents and Intellectual Property Essay Example for Free
Patents and Intellectual Property Essay Patents and Intellectual Property Introduction à à à à à à à à à à à A patent is a set of rights given exclusively to an individual or firm by an independent nation to the inventor or discoverer for a given duration in exchange for detailed information on the details of the inventions or discovery (Foray 28). Inventions that can be patented are new products, processes of manufacturing, improvements to an existing product or process, new chemical compounds or compositions, or processes relating of an existing manufacturing process (Perelman n.p.). This form of intellectual property encourages the economic and technological development by rewarding intellectual creativity. Patents are a crucial part for advancements in science based professions such as medicine, biotechnology, computers and even drug chemistry. These advancements have born great fruits which have all been aimed at improving the life of mankind. In this paper, the strengths and weaknesses of patent laws and foreign investment, trade, innovation, public health, generic resources and traditional knowledge will be discussed. Patent laws have improved the life of investors greatly, this has led to greater determinations in patenting other products, and in the process, greater, and discoveries that are more useful have been made. à à à à à à à à à à à Patents laws are set up to ensure that the owner of intellectual property benefits from his or her invention. The law gives the owner freedom of choice to do what they require with the invention as long as it does not conflict with other existing laws. The inventor can sell the patent at any market price they believe is commensurable, they can license the patent to others for use and in the process collect royalties from the users which increases their financial stability (Gold 135). Patent laws also offers a sense of protection to the inventors for the stipulated time (usually twenty years), and this approach usually is a disadvantage to the competitors in the same line of work. These laws also prohibit dealing with patented goods without permission from the patent holder and this ensures that pirating of patented goods or services is a prosecutable case whereby one can be sentenced to jail or heavily fined (Perelman n.p.). à à à à à à à à à à à Strong patent laws are a major attraction to foreign investors who are assured of the protection of their goods or services. They are thus confident about imitations of their product, which has lead to an increased net demand of their products leading to higher marginal profits. à à à à à à à à à à à The intellectual laws act as an attraction and assurance to foreign investors as their business is enabled a fair play ground to compete with existing indigenous firms (Smarzynska 41). Strong patent laws also offer a location attraction to foreign investors opting for areas with enhanced patent laws. This has lead to further development and improvement of economies of such areas as compared to areas whose laws are not well established. Stronger intellectual property rights can be a deterrent to new foreign investors since existing firms may have already established large market bases which may not be easy to break through. With this kind of market, monopolistic ventures may mushroom to the disadvantage of consumers since they may overprice their commodities due to lack of competitors. à à à à à à à à à à à Patent laws create ownership advantages conferring to firms serving the foreign markets (Cooter, Ulen 124). Through the provision of legal redress against any violations, markets are expanded and increase in both multilateral and bilateral trades. Patent laws increase bilateral exchange to foreign markets by reducing the costs associated with preventing loss of knowledge assets. Such costs consist of foregone revenues resulting from reduced bilateral exchange and or expenses incurred to make knowledge assets difficult to imitate especially when the destination country has strong imitative abilities. à à à à à à à à à à à Strong intellectual property laws can increase market power and even though strong laws enhance ownership advantage, this enhanced ownership can increase or decrease bilateral exchange. The market power concept holds that strong rights reduce bilateral exchange by ensuring a temporary monopoly over the protected knowledge. This market power is attributed to the patent holder, whether domestic or foreign. Firms that secure strong patent protection in foreign markets can exercise their market power by restricting quantity and increasing the unit price of bilateral exchange to that market (Fink and Primo 26). à à à à à à à à à à à According to Forays (13), strong patent laws provide incentives for people and firms to invest in research. Where there exists strong patent laws, inventors and innovators are energized since any benefits are accrued to them. With weak patent laws a free market economy fails to induce an optimal investment in research, development and innovation, since investors would not be able to recoup the full benefit from their investment. Patent laws also give strong ownership advantages to firms in developed countries, which encourage them to transfer their technology to developing countries through market channels at a cost. Strong patent laws may also be a disadvantage since they may lead to increased market power which results in high cost of technology transfer. In cases where there exist weak patent laws, this provides a loophole for technology transfer in non-market channels which would greatly disadvantage the innovators. à à à à à à à à à à à Patents are important to pharmaceutical firms as they help in appropriating the benefits to the innovators. Moreover, products and the development process are protected from imitators in order to avoid replication of same drug. The process of drug development is quite costly averaging at about 1billion US dollars for the actual discovery, development and regulation approval (Shimasaki, 123). However, patenting novel drugs is essential and only beneficial in developed countries where many firms may want to set up drug manufacturing firms. According to Vernon (14), the expensive process of research and development is usually compensated by profits, which arise from patent protection. Patent laws in drug development are quite complicated since while patenting new drug protects the producers from unscrupulous firms may also increase the cost of the drugs thus making them unaffordable to needy people. à à à à à à à à à à à The process of patenting innovations in public health may be long and tiresome which may discourage innovations. However due to emergence of tropical diseases in the developing world patenting may act as an incentive for continued research in both drug development and innovations of new procedures for their early diagnosis and treatment. All this will lead to improved health care for patients especially in developing countries where cost of drugs is beyond the reach of the majority who are struggling. Patent laws encourage the development of medicinal compounds or products. These conditions being rare are not economically viable for the pharmaceutical firms since the profits margins are so minimal thus little research is channeled towards them. However, through patenting, firms that delve into this kind of research because they are protected exclusively thus giving them the sole ownership rights to manufacture and distribute them at a give n cost (Gold 131-132). This enables them to make profits. à à à à à à à à à à à Weak patent laws in the health sector have been associated by rise of firms, which exploit the whole process of drug development. Drug imitators can benefit from innovatorsââ¬â¢ free approval and produce duplicate drugs at a much lower cost relative to the real cost of discovering and developing the new product. Patenting the genetic resources and traditional knowledge ensures that people who participated in the development of the new information are acknowledged for the work they have done. To scholars being acknowledged builds confidence in them and is a motivator for them to work even harder. By them being acknowledged, it shows that they become authorities in their specific fields, which further leads to production of more accurate and high quality new knowledge. Patent laws regarding information are in conflict with human rights since patent information should be made public for the benefit of all. It is not easy to relate patent l aws and human rights since it exist in different perspectives on the same depending on the contributors (Gold 186). As such, information should be easily accessible at minimal cost affordable to all. à à à à à à à à à à à In production of pharmaceuticals, patents laws restricted patent term to 20 years, this was disadvantageous to people who developed drugs for infrequent illness because sales of the drugs could not give adequate returns within the period. It was until 1984 that the congress amended the drug act by coming up with orphan drugs act that extended the period of patents to 25 years in order to allow developers to pay-back the cost of development and get profits (Gold 132). In addition, patent restricted use of available drugs for research of new drugs development. This presented a challenge to development of new and generic drugs until when the congress amended the patent laws to allow use of drugs for research purposes. Conclusion à à à à à à à à à à à Patent laws have more strength compared to weaknesses but it depends on the patent issue. Through patenting, the innovators and inventors are not only recognized as the owner of the emerging products but they also have various benefits such as financial gains to payback on the capital invested. The patent are only limited to 20 years, which in some cases is disadvantageous to products with weak marketing such as orphan drugs. The government intervention has resulted in developers reaping high profits for their ideas, and products over a given period. The weakness of patent is limitation on research where they restrict third party from using the original product or idea to develop new product thus slowing research and improvements of the existing ones. Hence, caution is necessary to ensure that patenting does not give rise to monopolies, which would discourage competition at the expense of the consumers. References Cooter, Robert and Ulen, Thomas. Intellectual Property in Law and Economics 5th ed. Toronto: Pearson, 2008. Fink, Carsten. and C.A. Primo Braga. ââ¬ËHow Stronger Protection of Intellectual Property Rights Affects International Trade Flowsââ¬â¢. In C. Fink and E. Mansfield (eds) Intellectual Property and Development: Lessons from Recent Economic Research. New York: World Bank/Oxford University Press. (2004). Print. Foray, Dominique. Technology Transfer in the TRIPS Age: The Need for New Types of Partnerships between the Least Developed and Most Advanced Economies. Geneva international Centre for Trade and Sustainable Development (2009). Gold, Richard E. Patents and Human Rights: A Heterodox Analysis. Journal of Law,Medicines and Ethics, 41(1) (2013):185-198. Perelman, Michael. ââ¬Å"In Patents We Trust: How the U.S. Government Learned to Stop Worrying about Monopoly and Love Intellectual Property.â⬠MR Zine (2005). Shimasaki, Craig D. The Business of Bioscience: What Goes into Making a Biotechnology Product. Dordrecht: Springer, 2009. Print. Smarzynska Javorcik, B. ââ¬ËThe Composition of Foreign Direct Investment and Protection of Intellectual Property Rights: Evidence from Transition Economiesââ¬â¢. Journal of European Economic Review 48(1) (2004): 39ââ¬â62. Vernon, J.A. ââ¬ËExamining the Link between Price Regulation and PharmaceuticalResearch and Development Investmentââ¬â¢. Journal of Health Economics 14(1) (2005): 1ââ¬â16. Source document
Friday, September 6, 2019
Stabilising factor in the cold war from 1949 to 1963 Essay Example for Free
Stabilising factor in the cold war from 1949 to 1963 Essay To what extent was the nuclear arms race a more stabilising factor in the cold war from 1949 to 1963? From the period of 1949 up until 1963 saw increasing developments in nuclear technology by both the two superpowers, the USA and USSR. The race meant that both superpowers aimed to match each other and even gain the upper hand in terms of nuclear missile technology. Nuclear arms were seen as a form of scare tactic against the other superpower as both felt threatened by each others ideological capability. It was also used as a form of defence mechanism in case of future attack however, the power and destruction of the weapons in which these countries created would have proved fatal not only for the opposing country but for the world. The nuclear arms race has been argued that it stabilised relations between the countries especially after the Cuban missile crisis although there is much evidence that proves otherwise, in which relations between the soviets and the United States were as tense as ever. On the 6th of August 1949, the USSR tested the first atomic bomb in the north of what would be now Russia. This was to start a fury of nuclear testing between the nations. However the first testing was actually in 1945 when the United States dropped atomic bombs on Hiroshima and Nagasaki, killing thousands of civilians. This immediately threatened not only Japan, the enemy of the United States during WW2 but also close neighbour, the USSR. Stalin saw the highly powerful bombs as force of power over the world. The United States showed the might and strength of their military weaponry but it made relations between the two superpowers very unsettling. It could be seen in this period, as a settling factor with the policy of Brinksmanship. The policy was formed by Eisenhower, the President from 1953 to 1961 and John Foster Dulles, the Secretary of State. It was a policy of intensely threatening the opposing side with action without delivering the action. In this case the United States were threatening the USSR with Nuclear action. It was a very dangerous policy as the name suggests it would go right to the brink of Nuclear War. This was very much true in the Cuban Missile crisis when the Soviets had nuclear weapons based in Cuba ready to target America, while the Americans had missiles based in Turkey, also ready to attack. Both superpowers were not only within each others sphere of influence, but they were also armed too. If the opposition was not backing down it would lead to two options, to either reveal the false threats or go to war. This policy however was used by both parties which in essence mad the whole of the period of time a very tense time. The false threats could be seen as a stabilising factor as both parties were not going to use the weapons, only as a scare tactic which would lead to an increase in communication between the countries. On the other side, threatening to destroy the opposing superpower could be seen as unsettling the relations even more than it already was. M.A.D. (Mutually Assured Destruction) could also be a Stabilising factor in this period as it caused both sides to rethink their strategies. Both sides had enough nuclear weaponry to annihilate the other and to even counter-strike when hit first. Both sides knew that using this strategy would prove too costly so for their own need they needed another approach. A more flexible approach in which the sides would use smaller, targeted missiles achieving to hit a specific area would be more worthwhile as it would limit the amount of action and devastation that the arms could bring. This agreement to use another approach to Brinksmanship in which it brought threatening words to the negotiations would be another step towards a more steady relationship between the soviets and the U.S. The Leaders of both sides also played a huge significance in terms of the nuclear arms race. The soviet leader Khrushchev who served from 1953 to 1964 was a very unpredictable character. This had made relations with the United States very unsettling especially when he possessed nuclear arms. America was desperate to initiate some kind of direct contact. This direct contact was made when the hot line telephone link was created. This could be seen as a sign of a more settled relationship during the nuclear arms race. It was a form of direct contact between the President, which at the time was Nixon and the Soviet Leader Brezhnev. Created in 1963, its aim was prevent a misunderstanding between the nations with the topic of nuclear arms. It was successful as it gave a quick response to any threats the Soviets made especially when the Soviets pulled out of Cuba, the United States were unsure of what the soviet would do next. The Nuclear Test Ban treaty of 1963 was another sign that the nuclear arms race was a stabilising factor as it banned testing of nuclear weapons above water. This was a huge significance as the previous decade consisted of both superpowers testing and improving nuclear weaponry. The main reason for this was the fact that they got too close in the Cuban missile crisis. They were literally hours from nuclear war. However there other factor that played into the formation of the treaty. The Soviet Union were in economic turmoil especially when they were paying almost a third of their GMP on arms. America was also in turmoil especially with the Vietnam War heating up and domestic issue of civil rights. In conclusion, after looking at the period of 1949-1963, the nuclear arms race was a stabilising factor in the cold war although things could have been the complete opposite. The risk of using Brinksmanship could have ended in war and eventual devastation of the world. Both countries, for their own sake needed to come to some agreement to limit the arms. By using the hot line telephone link both superpowers could prevent each other with great speed which helped misunderstanding especially when Khrushchev had a very unpredictable mind. The test ban treaty of 63 also helped limit the use of unsettling use of the weapons but it dragged other powerful nations such as China and France into the mix when they disagreed against the treaty.
Thursday, September 5, 2019
Hybridity Concept In Postcolonial Studies Cultural Studies Essay
Hybridity Concept In Postcolonial Studies Cultural Studies Essay Introduction This chapter seeks to examine key concepts that underpin this study. Hybridity, otherness and stereotyping in postcolonial studies are discussed in relation to the central argument of this thesis which is the roles teachers and students play at aiming for the construction of shared Malaysian identity in multicultural classrooms. The intention of this literature review is to identify the significance of hybridity, otherness and stereotyping in post colonial studies to my research and how Bhabhas notion of The Third Space helps to formulate the establishment of collective identity in students zone of development (Gutierrez, Baqudano-Lopez and Tejeda (1999). Hybridity concept in Postcolonial studies The flow of information and the movement of people in this ever evolving, interconnected and interactive world have been a profound reason in the creation of new cultures in the form of mixing of local and foreign ideas and values. This kind of mixing is a tiny part of the loose and slippery meaning of hybridity. The term hybridity is used in many areas such as hybrid economy (the mixture of private enterprises and government active participation in global economy) (Koizumi,2010); hybrid cars, hybrid language (creole and patois), and most importantly in relation to this study is in the arena of hybrid cultures (Tomlinson,1999; Coombs Brah,2000). Easthope (1998) contends that hybridity can have three meanings; in terms of biology, ethnicity and culture. In biological science, hybrid could mean the composition of genetic component in human being, animals or plants. In the second and third definitions, hybridity can be understood to mean an individual who possesses two or more ethnic and cultural identities. However de Toro emphasises that the meaning of hybridity in modern cultural theory has nothing to do with the biological and zoological origin of the term (de Toro, 2004). Hutnyk (2005) on the other hand reveals that the term hybridity and syncretism seem to serve the inner cultural aspects of colonialism and the global market. Several key thinkers in the realm of hybridity includes among others Homi Bhabha, Robert Young, Gayatri Chakravorty Spivak, Stuart Hall and Paul Gilroy, who draw upon related concepts from Deleuze, Derrida, Marx, Fanon and Bakhtin to name a few.(Ref) In particular, Bhabha has developed his concept of hybridity from literary and cultural theory to describe the construction of culture and identity within conditions of colonial antagonism and equity (Meredith, 1998; Bhabha, 1994; Bhabha, 1996). In socio-cultural milieu, hybridity is used as an explicative term and hybridity became a useful tool in forming a discourse of racial mixing which was seen as an aberration in the end of 18th century. The kind of hybrid during this era was largely referring to inter marriage of black and white and the offspring were identified as the hybrid product. It has also been referred to as an abuse term in colonial discourse for those who are products of miscegenation or mixed-breeds. Papastergiadis in Werbner Modood (2000) on the other hand asserts that the positive feature of hybridity is that it invariably acknowledges that identity is constructed through a negotiation of difference and that the presence of fissures, gaps and contradictions is not necessarily a sign of failure. (ibid:258). Therefore hybridity can be seen in both negative and positive forms. Ashcroft, Griffiths and Tiffin (2006) assert that hybridity occurs in post-colonial societies as a result of economic and political expansion and control and when the coloniser diluted indigenous peoples (the colonised) social practices and assimilate them to a new social mold. They also further explain that hybridity extends until after the period of imperialism when patterns of immigrations from rural to urban region and from other imperial areas of influence; such as Chinese and Indian labourers coming in into the Malay Peninsula during the labour intensive period. However, with the end imperialism, with the rising of immigration and economic liberalisation, the term hybridity has profoundly been used in many different dimensions and is one of the most disputed terms in postcolonial studies. It can take many forms including cultural, political and linguistics. It is important to note that hybridity can be interpreted in many different accounts from a slight hybrid to the extreme of culture clash. In the postcolonial studies the term hybrid commonly refers to the creation of new trans-cultural forms within the contact zone produced by colonisation (Ashcroft et al.,2003). One other dimension of this term is the hybrid talk which is associated with the emergence of postcolonial discourse and its critique of cultural imperialism.(elaborate) Easthope (1998) on the other hand asserts that in his discussions of hybridity, it has no fix definition except in relation to non-hybridity: à ¢Ã¢â ¬Ã ¦that the opposition between difference and absolute presence needs to be relativised by introducing more than one concept of identity, that a coherent, speaking subject cannot live in the gaps between identities. (p.347). Pieterse (2001:221) maintains that New hybrid forms are significant indicators of profound changes that are taking place as a consequence of mobility, migration and multiculturalism. In addition, cultural diasporization (Hall, 1990) signifies a new form of identity as a result of interculturality and diasporic relations (Anthias,2010). However, Anthias (ibid:620) postulates that: If hybrid social identities are now the characteristic identities of the modern world, then struggles over cultural hegemony and the underlying mechanisms that support it, become increasingly empty signifiers; merely to occupy the space of the hybrid constitutes an emancipator human condition. In addition, de Toro (1991,1996a) contends that hybridity is always inherent to culture, identity and nations but it is the object of reflections and definitions of different settings and also applied in very different fields. Correspondingly, de Toro suggests that one has to understand the notion of hybridity in a broader metacontext and has to see hybridity as mixing systems at the base of the combination of different models and processes. The discussion of hybridity in this study focuses on the contemporary debate about culture, ethnicity and identity which underpins de Toros model of hybridity as a cultural category. The main argument of this study is the problematic nature of managing the differences of cultural, ethnical and religious groups in Malaysias plural society in the quest for the construction of shared Malaysian identity. The discussion of hybridity in the Malaysian context in this study therefore is not about finding a midway to the solution of differences in cultures and identity but to identify a space where cultural, religious and ethnic difference can be celebrated. In as much the arguments in the succeeding sections deal with ethnicity, culture and religion, this study does not attempt to explicate an in depth discussion of the cultural theory concept. However, cultural theory will be reviewed at a surface level. In the linguistics setting, Bakhtin (1981) puts forward the notion of linguistic hybridity. He, according to Young (1995) delineates the way in which language, even within a single sentence, can be doubled-voiced. Bakhtin affirms that linguistic hybridity mixes two social languages within the limits of a single utterance but differentiated by other factors of those social utterances. Simplistically, it describes the ability to be simultaneously the same but different (ibid:20). Young further postulates that for Bakhtin, hybridity describes the process of the authorial unmasking of anothers speech, through a language that is double-accented and double-styled. Bakhtin (1981) divides his linguistic hybridity into two; intentional hybridity and unconscious or organic hybridity. The former occurs when a voice has the ability to ironise and unmask the other within the same utterance. The organic hybridity , on the other hand occurs when two languages fused together: . the languages change historically primarily by hybridization, by means of a mixing of various languages co-existing within the boundaries of a single dialect, a single national language, a single branch, a single group of different branches, in the historical as well as paleontological past of languages. (Ibid:358). The language hybridity phenomenon is one of main discussions in this current study as the multicultural society evolves in Malaya then Malaysia respectively, languages evolve in tandem. The discussion involves the emergence of Malaysian English or Manglish in social interactions of the populace within ones own ethnic community or with the other communities at large. This is argued in the discussions and findings chapter of this current study. The section that follows discusses in greater detail of hybridity in the light of Bhabhas (1998) work on cultural diversity and cultural difference. Understanding Bhabhas concept of hybridity in relation to cultural diversity Bhabhas conception of hybridity is developed from literary and cultural theory by which he identifies that the governing bodies (coloniser) translate the identity of the colonised (the other) in tandem with the essentialist beliefs. This action of translation however does not produce something that is known to the coloniser or the colonised but essentially new (Papastergiadis, 1997). Bhabha believes that it is this new blurred boundaries or spaces in-between subject-position that are identified as the locality of the disruption and displacement of predominant influence of colonial narratives and cultural structures and practice. Bhabha (1994) claims that the difference in cultural practices within different groups, however rational a person is, is actually very difficult and even impossible and counterproductive, to try and fit together different forms of culture and to pretend that they can easily coexist. As he affirms: The assumption that at some level all forms of cultural diversity may be understood on the basis of a particular universal concept, whether it be human being, class, or race, can be both very dangerous and very limiting in trying to understand the ways in which cultural practices construct their own systems of meaning and social organisation (ibid:209) There is truth to a certain degree to the statement above in terms of the universality of cultural diversity applied in many pluralistic countries including Malaysia. However, to a larger extent, this present study, at a later stage would render the limitations of that statement amidst difficulties and multitudes of problems in inter-ethnic relationship; Malaysian society has proven its ability to be one of the select few which are able to prove that the differences in cultural practices could be the catalyst not hindrance or counterproductive amongst different groups to coexist. This concept of the third space is central and useful in analysing this current study in terms of its interstitial positioning between cultural and ethnic identity with that of a negotiated identity (shared identity) in the Malaysian context. Bhabha believes that the process of cultural hybridity gives rise to new and unidentifiable, a new era of negotiation of meaning and representation. For him controversies are inevitable and unavoidable in a multicultural society as negotiations happen almost in all circumstances including socio-politics and economy down to minute affairs such as in classrooms context. The implication of western colonial legacy which had changed cultural ideology of a former colonised nation is central to the modern discourse of negotiation and instead of questioning the legality of certain cultural status assigned to immigrant cultures, it is inevitable but to accept, admire and celebrate diversity in ways which are appropriately befitting the society as a whole. The significance of the hybridity concept Post-colonial cultural politics assertions: integration and assimilation to unification As a result of hybridisation, dominant culture becomes diluted and more dispersed; less integrated and can then be negotiated. The process of cultural hybridisation allows greater opportunity for local culture to be emphasised thus presents a greater likelihood for more people to feel the sense of belonging. (Canclini,1995;Pieterse,2004). Hybridity needs to be considered as a continuous transaction of renewals and compromise of the practices of identity A more analytical perspective that reviews the assumption about culture and identity from us-them dualism to a collective sense of both. Therefore acceptance and conciliation of both difference and similarity. 5.0. The Third Space Appropriation of The Third Space to the study Otherness Stereotyping in Post Colonial Studies 9.0 Applying hybridity, otherness and stereotyping to the construction of shared identity Identity in Plural Society Propagating and espousing a new conception of shared identity New opportunities, new challenges to develop a collective sense of identity Identity is multiple, overlapping and context-sensitive (Kwame Appiah in Koizumi) New conception of self hybrid self rejects singular identity and adopt a fluid context-dependent identity Classification of identity formation: inherited and acquired (social and psychological) The Construction Malaysian Identity Summary
Wednesday, September 4, 2019
The Magic Circle :: essays research papers
The Magic Circle à à à à à The Magic Circle, by Donna Jo Napoli dealt with three main characters. In the story a woman named The Ugly One possesses the power to heal. The woman has a beautiful daughter named Asa. The Ugly one is a sorcerer; who also helps sick people who are possessed by demons. The Ugly one becomes a witch after biting the finger off a deformed baby child and desiring an exquisite golden ring. à à à à à The main character is The Ugly Sorcerer who is a hunchback. At first she helps deliver children at birth and then she becomes a sorcerer when her neighbor persuades her to learn the ways of a healer. She uses an amethyst stone that is holy so that she can draw a circle known as a magic circle. The circle keeps her safe while summoning demons that try to turn her into a witch. A man asked her to heal his child with an extra finger, but instead of using her powers she simply bites it off and then she foolishly steps out of the magic circle to grasp the once desired ring and is regrettably she is turned into a witch. à à à à à A boy named Peter is one of her patients. The Ugly one cures him and they become friends. Peter teaches her all he knows about the devils. Peter is a normal young child who keeps his faith in The Ugly one till the end. Peter turns into a strong young man who is very knowledgeable about anatomy and demons due to his studies in books. à à à à à Bala was the neighbor who convinced The Ugly One to heal people. The Ugly One was not sure if the Bala was good or evil because of her name. The letters in Bala's name were so similar to the Devils' names. Bala treated The Ugly one very cruelly and had no respect for her because she was a hunchback. When The Ugly One turned into a witch, Bala was very quick to turn against her and sided with the crowd. The Magic Circle :: essays research papers The Magic Circle à à à à à The Magic Circle, by Donna Jo Napoli dealt with three main characters. In the story a woman named The Ugly One possesses the power to heal. The woman has a beautiful daughter named Asa. The Ugly one is a sorcerer; who also helps sick people who are possessed by demons. The Ugly one becomes a witch after biting the finger off a deformed baby child and desiring an exquisite golden ring. à à à à à The main character is The Ugly Sorcerer who is a hunchback. At first she helps deliver children at birth and then she becomes a sorcerer when her neighbor persuades her to learn the ways of a healer. She uses an amethyst stone that is holy so that she can draw a circle known as a magic circle. The circle keeps her safe while summoning demons that try to turn her into a witch. A man asked her to heal his child with an extra finger, but instead of using her powers she simply bites it off and then she foolishly steps out of the magic circle to grasp the once desired ring and is regrettably she is turned into a witch. à à à à à A boy named Peter is one of her patients. The Ugly one cures him and they become friends. Peter teaches her all he knows about the devils. Peter is a normal young child who keeps his faith in The Ugly one till the end. Peter turns into a strong young man who is very knowledgeable about anatomy and demons due to his studies in books. à à à à à Bala was the neighbor who convinced The Ugly One to heal people. The Ugly One was not sure if the Bala was good or evil because of her name. The letters in Bala's name were so similar to the Devils' names. Bala treated The Ugly one very cruelly and had no respect for her because she was a hunchback. When The Ugly One turned into a witch, Bala was very quick to turn against her and sided with the crowd.
Tuesday, September 3, 2019
Reasons I am Pro-choice Essay --
ââ¬Å"God send us someone to cure cancer, AIDS, etc., etc.â⬠ââ¬Å"I did but you aborted them.â⬠Abortion is a very serious topic that is separated by two groups pro-life or pro-choice who often argue on what is fair. Pro-choice is the people who believe it is the womanââ¬â¢s choice to choose if she wants an abortion or not. They donââ¬â¢t think the fetus is a human until a certain point in the pregnancy. Pro-life is when people believe that getting an abortion is killing a human being with rights. They want abortion to be illegal whether the woman wants one or not. Even though some say that having an abortion is killing an innocent baby and that it brings on many problems later in life, many pregnant women are not ready to have a child and some just do not want kids and they should have the right to get an abortion. If abortion was made illegal many would turn to ââ¬Å"back-alley abortionsâ⬠which are done in unsafe ways and it could result in more fatalitie s. It is common for anti-choicer to claim that having an abortion can lead to many complications in the future. Some say that having an abortion if you have been pregnant before increases the chances of breast cancer significantly but research found that this was not true. It is also said that having an abortion can lead to several disorders like depression, being bipolar and abuse of drugs and alcohol. Although it is a possibility, the original test was faulty because the subjects were not screened before hand to see if they already had the disorders. Others may say that an abortion is more dangerous that giving birth even when preformed by a professional. In reality, carrying a pregnancy to turn can be 10 times more dangerous than having an abortion but having an abortion still has itââ¬â¢s risk. In ... ...to many problems in the future but if abortion was illegal it would only worsen the conditions and number of fatalities. The complications that are given are often untrue and used to try and make a women change her decision. Young women get pregnant and often do not want the child because they are still getting their life in order and planning for the future. Other women may not want children because of the money, time, and responsibility needed to take care of a child. If in the future abortions are made illegal the amount of deaths because of unsafe abortion methods used when a women is desperate for one. ââ¬Å"God send us someone to cure cancer, AIDS, etc., etc.â⬠ââ¬Å"I did but you forced her to carry an unwanted pregnancy to term, forcing her to become a single mother with limited income, having to sacrifice her college dreams in order to provide for her unwanted child.ââ¬
Monday, September 2, 2019
Farewell to Arms books :: essays papers
Farewell to Arms books 13.Henry has been taken to the American hospital in Milan where Miss Gage, a young nurse takes care of him. The head nurse forbid Henry to drink wine but he disobeys, and pays some Italians to bring him wine with the newspapers. Titles : Arrival at the hospital in Milan, first days at the hospital, encounter with Miss Gage & Miss Van Campen. 14.Arrival of Miss Barkley(Catherine), at the American hospital and the revelation of their love for each other. Henry learns by Miss Gage that Miss Barkley has come to work at the hospital. A barber comes to shave Henry but he mistakes him with an Austrian soldier and he threatens to cut his throat. Henry realises that heââ¬â¢s in love with Catherine and they spent their first night together. 15. Dr Valentini,. Henry is visited by doctors who remove some of the shrapnel from his leg. The doctors seem incompetent, and tell Henry he will have to wait six months for an operation if he wants to keep his leg. He cannot stand the thought of spending six months in bed, and asks for another opinion; the house doctor says he will send for Dr. Valentini. Heââ¬â¢s a skilled doctor. When Dr. Valentini comes, he says he will perform the operation in the morning. 16. Preparation for the operation Catherine spends the night in Henry's room. Catherine prepares him for the operation, and warns him not to talk about their affair while under the anaesthetic. 17. After the operation, Henry is very sick. As he recovers, three other patients come to the hospital--a boy from Georgia with malaria, a boy from New York with malaria and jaundice, and a boy who tried to unscrew the fuse cap from an explosive shell for a souvenir. Henry develops an appreciation for Helen Ferguson, who helps him pass notes to Catherine while she is on duty. Catherine continues to stay with Henry every night, but Henry and Miss Gage finally convince her to take three nights off of night duty--Miss Van Campen has commented that Henry always sleeps till noon. 18. That summer Henri learns to walk on crutches, and he and Catherine enjoy Milan. They befriend the headwaiter at a restaurant called the Gran Italia, and Catherine continues to see Henry every night. They discuss marriage, but Catherine remains opposed to the idea for the time being. They pretend to be married instead.
Sunday, September 1, 2019
Nutrilon Advertisement
Nutrilon Advertisement Effectiveness and Limitations of Nutrilon Advertisement The Nutrilon advertisement was able to target the intended market segment in which is the parents of children from age 3 to 6 years old. The advertisement was effective in many segments. The first segment is looking at demographic and psychographic variables. Inside the advertisements, the demographic variable is clear in which is using age as the base. It target the age of small kids from 3 to 6 years old in which is effective as the milk is targeted to the segment of consumers. On the psychographic variable, the advertisement use the base in which is the things we value. The advertisement is targeted to the parents in whom the things that they value will be their children. Based on the demographic and psychographic variables, the advertisement was able to target them effectively. The second segment will be whether the advertisement has achieved the absolute threshold level or the minimum level in which the simulations can be detected on a sensory channel of the consumer (Solomon, 1994, p. 57). Looking at the advertisement, the sensory channel that will be affected through it will be vision and sound channel. The advertisement used interesting choice of background in which it evokes the interest of the natural scenery of the world. The sound channel that is used is muzak slower tempo in which it created relaxing mood to the viewers to watch the advertisement (Solomon, 1994, p. 54). The advertisement is effective in terms of the absolute threshold level in which the consumers will notice the advertisement. The third segment is the selective exposure in which will be one of the limitations to the advertisement. Consumers are more aware towards the advertisements that contain their current needs in which this will decrease the effectiveness of the advertisement in which it will go into waste (Solomon, 1994, p. 62). Besides, consumers actively seek out messages they find pleasant or are in sympathy with and tend to avoid painful or threatening ones (Schiffman, Bednall, Oââ¬â¢cass, Paladino, Ward and Kanuk, 2008 p. 148). Nutrilon advertisement will be only be noticed to the newly parents in which they just had their new babies and will be less effective to the ld parents as they might already have their preferred brands of milk in which will become the limitations due to their selective exposure. The fourth segment is the information overload. When an advertisement contains information overload, it will decrease the effectiveness of the advertisements as the consumers will not encode all the messages of the advertisement (Schiffman et al, 2008, p. 199). Fortunately, the Nutrilon advertiseme nt does not contain many messages as the only important message that is given through the advertisement is ââ¬Å"Living full life on the outside, starts on the insideâ⬠. The message means that to be able to live a full life on the outside, the kids should have a good nutrition on the inside through the milk. The fifth segment on the effectiveness of Nutrilon advertisement is the perceptual defence by the consumers. The consumersââ¬â¢ perceptual defence will be one of the limitations for the effectiveness of the advertisement. Some psychologists continue to claim that people may subconsciously screen out stimuli that are important for them not to see, even though exposure has already taken place (Schiffman et al, 2008, p. 48). The perceptual defence of this advertisement will be the consumers blocked the message that is left by Nutrilon in which is ââ¬Å"living full life on the outside, starts on the insideâ⬠. Due to that, the perceptual defence will be one of the limitations of the effectiveness of the advertisement. Another segment to check is whether the Nutrilon advertisement is marketable to the children. The advertisement is marketable to the children in which it focuses on the children on how to achieve the dream. Children might get attracted towards the advertisement in which it shows a lot of children and said on what they want. Therefore, the advertisement is marketable to the children and one of the segments that increase the effectiveness of the advertisement. The last segment to see on the effectiveness of advertisement is whether it successful to counter advertising clutter, sensory overload, and whether it creates contrast. Nutrilon advertisement successful to counter the advertising clutter, sensory overload and it creates contrast. The advertising clutter can be avoided as Nutrilon advertisement is a TV advertisement and there are no others advertisements in the same time in which causes the advertising clutters. Sensory overload also does not exist in the Nutrilon advertisement in which it is shown through only two sensory which are sound and vision sensory. Nutrilon advertisement also creates contrast in which the advertisement is unique from its competitors. The usual milk advertisement will show on how they protect the children, contrast to the Nutrilon milk advertisement in which more focused on what the children might dream and how to achieve it. These are shown through the message which is ââ¬Å"Living full life on the outside, starts on the insideâ⬠. In conclusion, the advertisement is effective although there are some limitations that limit the effectiveness of the advertisement. References Schiffman, L. , Bednall, D. , Oââ¬â¢cass, A. , Paladino, A. , Ward, S. and Kanuk, L. (2008) Consumer Behaviour, 4th edition, Australia: Pearson Education Australia. Solomon, Michael R. (1994) Consumer Behavior: Buying, Having and Being, 2th edition, United States of America: Allyn and Bacon.
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