Saturday, November 30, 2019

Rose For Emily Essays (1336 words) - A Rose For Emily,

Rose For Emily William Faulkner's "A Rose for Emily" is the story of a woman's reluctance towards change. The story encompasses the entire town's unwillingness to change, while focusing on the protagonist, Emily Grierson. Faulkner uses symbols throughout the story to cloak an almost allegorical correlation to the reconstruction period of the South. Even though these symbols are open to interpretation, they are the heart and soul of the story. While the literal meaning of Faulkner's story implies many different conclusions, it is primarily the psychological and symbolic aspects which give the story meaning. Exploring these aspects will shed light on Faulkner's intention of "A Rose for Emily." After Emily Grierson's domineering father dies, she refuses to move on. By defining "moving on" as letting go, we see that Emily is lodged in the past, unable to ameliorate as the rest of society does. Whenever anything drastic occurs, Emily becomes reclusive,"After her father's death she went out very little... after her sweetheart went away, people hardly saw her at all." (428), the narrator explains. She had Tobe, her butler to interact with the world so that she didn't have to face reality. Psychologically, this is very important in terms of how Emily views the world and why she commits murder. If unable to change, one will die in time. Emily though was held to the code of "noblesse oblige" (430). This meant that even in dire need, Emily would never reveal her true feelings to the common folk of Jefferson. So she distorts time, refusing to accept the fact that her father was dead: The day after his death all the ladies prepared to call at the house and offer condolence and aid, as is our custom. Miss Emily met them at the door, dressed as usual and with no trace of grief on her face. She told them that her father was not dead. She did that for three days, with the ministers calling on her, and the doctors, trying to persuade her to let them dispose of the body. Just as they were about to resort to law and force, she broke down, and they buried her father quickly. (429) Emily now clear of her father's "horsewhip" (429), was free to explore her sexuality. This newfound freedom led her to fancy a Yankee day laborer named Homer Barron. Her father would never have approved of a commoner such as Homer as the townsfolk point out, "We remembered all the men her father had driven away" (429). Their relationship grew and the townspeople suspected that they would be married, as is the southern way. They were mildly surprise that they were not to be married attributing it to "that quality of her father which had thwarted her woman's life so many times..." (432). Her father had doomed her life, stifling any chance for growth. Not all of the blame is to be placed on Emily's father, rather, it should be spread among the people of the town, her father, and Emily herself. This falling out with Homer is the turning point in the story. Instead of grieving as a normal person would, Miss Emily turns into a psychotic crazed lover. At this point in the story she ceases to only be called Miss Emily; and the town chooses to add poor Emily , as if a noble Grierson would need pity. Rather than sulk, Emily goes to the drugstore to buy poison, expectedly to kill herself. She displays her force as a Grierson to the unsure druggist when he asks why she requires poison, "Miss Emily just stared at him, her head tilted back in order to look him eye to eye, until he looked away and went and got the arsenic and wrapped it up" (431). She used her influence as a Grierson to get what she wanted, even though at this point, the Grierson name, through several humbling events, was losing its vigor. Still alive, Emily again chooses to live a hermit's life, now that Homer is gone. She again takes refuge in her house which literally and figuratively is Miss Emily's denial of reality and time. This is the initiation of her downfall and ultimatly her lonely death. She refused to be accepted as what she truley was, a commoner. "...She demanded nore than ever the recognition of her dignity as the last Grierson" (430). Emily, in her home, which for her, was functioning as a temporal shelter, was impervious to the progression that was sweeping the rest of society. "Miss Emily alone refused

Tuesday, November 26, 2019

Working Capital Strategies Essays - Free Essays, Term Papers

Working Capital Strategies Essays - Free Essays, Term Papers Working Capital Strategies FIN/419 June 22, 2015 Michele Huss Working Capital Strategies Introduction Working capital is defined as as the difference between current assets and current liabilities ("Working Capital", 2015). Our team has reviewed important financial reports such as the most recent balance sheet and cash flows statements, taking relevant data to be analyzed for how it will impact cash management strategies. In order to have a distinct impact and increase profits there has to be growth and innovation, positively impacting consumer interest in Apples product line. To do this Apple executives and management have to have a clear image of where they are presently, and what needs to be accomplished to reach their goals. Included is a description of how current assets and liabilities affect cash flow management, this information is important because it allows management to make strategic decisions to increase revenue and market share. Our team has had the opportunity to make capital recommendations based on the assumption that Apples forecasted revenue will increase by twenty percent to management that includes detailed pro forma reports. The final area our team will focus on is how the increased revenue will effect Apples working capital policy, identifying lessons we have learned and highlighting areas that can be developed further. This gives members of senior management a clear outline of where this business Apple is and what it will take to attain their future financial goals. Increased Forecasted Revenues: MEGAN Any company's revenue has the ability to increase or to decrease each year. Let's observe Apple's current income statement; in accordance to Google Finance (2015), Apple's most recent income statement of March 3rd, 2015 had the company's total revenue at $58 million. Assuming we forecasted correctly, Apple's revenue increases 20% in 2016, let's say roughly $69 million. The company would have not only to perform well over the course of the year but also had to of developed a new piece of technology that the public loved. Over the past couple of years, Apple has managed to progress and present several products into the marketplace that clients excitedly expect. If a company's revenue increases it is most likely to increase their gross profit as well, and Apple appears to be using their working capital funds effectively. It is the information that's provided but financial statements; for example, balance sheet, income statement, & cash flow statement) that demonstrate whether that compa ny is profitable. And whether there is sufficient ability to meet the working capital also needs to the long-term debt. Current Assets & Liabilities Affect Cash Management: MEGAN The information one can obtain from financial statements provided by trend analysis, ratio analysis and the footnotes to the financial statements offer important information about the management of a company and its potential success over time. The only way anyone can learn how successful and profitable a company is involved careful and concise analysis of a company's financial statements. How are Apple's assets and liabilities affecting their cash flow? A closer look at the numbers demonstrates $231,839,000 in total assets and $120,292,000 in total liabilities (Yahoo Finance, 2015). So, increases in accounts receivable, inventory and prepaid expenses hurts the cash flow, decreases in these areas help the cash flow. Increases in short-term operating liabilities help cash flow where a decrease would hinder the cash flow. Apple does not seem to be in any distress at this point, and that is because of their innovative products. Poor cash flow makes nearly impossible to hire and retain d ecent employees; again Apple does not fall short here either. Lastly, the company's accounts receivable turnover and inventory (part of company assets) also to the actual cash flow analysis, determine how efficient revenues translate into cash flows. This aids in the determination when it comes to the company's health and stability. Capital Recommendation: MEGAN Any company, profitable or not should have a working capital recommendation. Calculating a pro forma is essential to the capital recommendation. According to Way (2007) a company's pro forma is the forecasted financial statements that are based on either anticipated future events or potentially changing business performance in upcoming periods. After research, I have constructed the following pro forma chart using the financial statements located in the Google Finance and Yahoo Finance references. Reference

Friday, November 22, 2019

Accidents Have Caused Major Explosion

Accidents Have Caused Major Explosion In the past few years there had been a steady increment in the usage of the risk assessment in the offshore production facilities. This is especially after the Piper Alpha disaster in 1988 and many other major accidents that killed many lives. Operators are showing an increasing awareness by reviewing the safety of their existing topside production facilities. The Piper Alpha accident provided adverse confirmation that the predictions of risk analyses regarding major accidents were certainly prudent. Quantitative Risk Assessment (QRA) is very useful in order to reduce the risks especially on the hydrocarbon releases from offshore topsides facilities. (Harmony, 1998) The accidents have caused major explosion and followed by some other minor explosions that release huge amount of hydrocarbons such as gas, liquid and 2-phase liquid. According to the investigation report that had been made after the accident, the main reason that causes the accident is the handover work made by two diff erent shift personnel. Communication problem is one of the reasons of the tragedy. Initially the platform only produced crude oil. However, after a few years natural gas is also being produced. During the installation of the gas conversion equipment, the fire walls were not upgraded to the blast wall that causes a severe explosion throughout the disaster. Moreover, the pumping operation of oil and gas was continued even though the fire started to spread on the platform due to lack of professed authority that just witness the burning of the Piper (Taylor, Wallace, & Ward, 1991). It was started from the two condensate injection pumps which are A and B. The day shift engineer forgot to inform the condition of pump A to the night shift engineer in which the pressure valve was removed for recalibration and recertification. There are about 106 recommendation has made for the future of safety offshore by the Cullen Report. All of the recommendations had been accepted and implemented by the offshore operators later then (Simon, 2012a). Petrobras Enchova Central Platform was listed in the major offshore accidents. This platform also listed as one of the worst and notable blowouts in the history of offshore oil platform. It is located in the Enchova Field, Brazil and operated by Petrobras. Two major incidents recorded in these fields which were on 16 August 1984 and 24 April 1988. The first accidents caused by blowout followed by explosion and fire. Most of the personnel were evacuated safely by chopper and lifeboat. Unfortunately, 42 workers died during the evacuation processed. The main reason that killed many lives during evacuation is because the failure of lowering mechanism of a lifeboat. The lifeboat was suspended and eventually fell 10-20m to the sea which killed 36 personnel. The other six workers were killed when they jumped from the platform to the sea at 30-40m height. (Simon, 2012b) The second accident occurred on 24 April 1988 which is four years later dur ing the workover operations on the platform. One of the well that operated by the platform blew out and finally ignited that resulted in the destruction of the platform. Petrobras decided to drill two relief wells in 30 days’ time and eventually succeed in controlling the blowout (Maduro & Reynolds, 1989). The workover well was performed in order to convert oil well to gas well. Then the blowout occurred during that converting process. The fire resulted from gas ignition last for 31 days. There was no loss of life recorded because the floating living quarters were separated from the platform during the blowout. The operator incurred a total loss because the extensive damage to the topside structure (Simon, 2012b).

Wednesday, November 20, 2019

Employer's Duty of Care and Issues of Compensation Assignment

Employer's Duty of Care and Issues of Compensation - Assignment Example If the instructions are not stated clearly, the employee may act in good faith to fulfill a particular duty of obedience. This should be done in a manner that is reasonable especially considering the existing circumstances at that particular moment. Jake has been employed on a contract basis as certified auto mechanic at the Rally motors. This therefore means that Jake may perform any job assigned to him by his employer provided the job is reasonable. Even as Jake performs the job assigned to him, he is aware of what is expected of him by the federal or state regulations. Basing on the movie, one can comfortably say that Jake’s actions are within his scope of employment. The current job of oil change is, most likely, not what Jake expected as he entered into an employment agreement with Herman. Instead it is a promotional offer invented by Herman to attract more customers as he says that as the customers’ cars are being serviced, the customers get a chance to check out the new car models. So Jake may argue that as far as what is expected of him in terms of standards is concerned, his actions are within his scope of employment (Goss, 2004). It may be argued that every employee has an obligation to perform his duties as directed by his employer. Such arguments may be as a result shortsightedness in terms of the potential impacts it may have on the business in the future. In this case, for example, customers expect a fully serviced vehicle from the service department especially if the service personnel like Jake are certified. So, it is Jake’s responsibility to do thorough service work on the customers’ vehicles and this includes checking and where possible servicing the tires, brakes and transmission as would be expected of a certified auto mechanic (Murolo & Chitty, 2001). This ensures that the vehicle is safe for driving by the customer. If a vehicle from the service centre gets involved in an accident and the resultant victim, be it the customer or another third party, sues the service company, the company might be forced to compensate for the loss or damage incurred. This might destroy the company’s reputation and also bring the competencies of the auto mechanics involved, like Jake, into question. Another perspective would be for Jake to identify if there is something wrong with any part of the vehicle that might pose a safety risk and make it his duty to inform the customer and recommend for him/her the necessary or appropriate repairs to be made. If the extra work Jake is doing on the customers’ vehicles is not paid for and therefore does not generate any further income for his employer, then it would appear that he is violating his duty obedience. This can be clearly seen when Herman tells him that his work is to change the oil but not to fix other parts of the vehicle, an action that finally results into overcrowding of the customers’ vehicles. Considering these two perspectives, the question whether or not Jake acted within the scope of his employment becomes complicated and hence one that can only be satisfactorily handled by a jury. Question 2: Explain whether or not Herman

Tuesday, November 19, 2019

Ann Taylor Brand Analysis Term Paper Example | Topics and Well Written Essays - 1250 words

Ann Taylor Brand Analysis - Term Paper Example The Ann Taylor brand was created in 1954 and today it has become a well established brand. According to Keller, Sternthal and Tybout, in case of established brands, managers must reassess their points of parity and points of difference from time to time. When customers think about Ann Taylor, they first consider the long term and the admirable market operations of the brand. In order to analyze the brand image of AT, a survey was conducted among 6 women professional from different age groups (between 30 and 39). From the survey responses, it is obvious that old brand image of Ann Taylor including poor fit, the traditional style, comes to customers’ mind when they think of AT despite the restructuring efforts of the company. All the five respondents said that they owned an Ann Taylor product. In addition, most of the participants said that they gave great emphasis on company’s reputation while choosing a clothing brand. The survey also indicated that poor quality and sty le are the main reasons why customers are reluctant to buy AT products. Misconceptions like ‘AT still follows a conventional business pattern’ also have adversely affected the brand’s reputation and thereby sales volume. Nowadays, AT deploys celebrities and initiates advertisement campaigns to change its brand image and associations so as to make consumers enlightened on particular product characteristics and quality. This advantage assists Ann Taylor to raise sales only on the strength of its brand image despite its product features. Although these brand-related or non-product related associations have to be emphasized, the company must make sure that such associations do not reduce the market demand of its products. In short, American women customers tend to choose Ann Taylor brand mainly because of the reputation the brand has in the US clothing market. Brand Elements Brand position, brand promise, brand personality, brand story, and brand associations are the important elements associated with a brand. Ann Taylor brand specifically works for addressing the clothing needs of middle class professional women. This brand equally serves the interests of every woman whether she is a trainee in a small firm or a top executive at a multinational corporation. High quality is the most important feature that the brand offers to its customers. The brand is well known for its repute across the New York market for more than a half century. The company’s long success history adds value to its brand credibility which in turn assists the brand to maintain customer loyalty. While analyzing the brand association, it seems that the Ann Taylor makes efficient use of its logos, packaging, and slogans. Ann Taylor’s Heidi Klum featured Holiday 2010 campaign attained great public attention and it assisted the company to change its brand image to some extent. However, Ann Taylor’s logo is not much recognized in the market and people do not e asily recognize AT products among other brands despite its long years’ service history. In short, these brand elements have reinforced the point of difference, which represents the outcomes of product differentiation. While analyzing

Saturday, November 16, 2019

Pharmacological rationale for the use of beta blockers and nitrates in the treatment of patients with ischaemic heart disease Essay Example for Free

Pharmacological rationale for the use of beta blockers and nitrates in the treatment of patients with ischaemic heart disease Essay The goals of treatment in acute myocardial infection are the restoration of blood flow to the coronary arteries and salvaging as much as possible of a functional myocardium. Nitrates and betablockers are some of the main medications used in the management of acute myocardial infarction. Nitrates are beneficial due to their vasodilator effect. Nitrates are metabolized to nitric oxide in the endothelium of blood vessels (Rubenstein et al, 2006, pp261). The nitric oxide has the effect of relaxing vascular smooth muscle causing the blood vessel lumen to dilate. Vasodilation leads to a reduction in cardiac afterload and preload. This decreased the oxygen requirements of the myocardium. Vasodilation in the coronary arteries leads to an improvement in the flow of blood through the partially obstructed coronary vessels and also through the collateral vessels. Nitrates reverse the vasoconstriction that occurs during coronary occlusion (ACC/AHA, 2006). When administered intravenously or sublingually, nitroglycerin has a rapid onset of action. Evidence for the use of nitroglycerin has shown substantive benefit in the long term following therapy for MI. It is useful in such cases when there is no residual ischemia or a severe pump dysfunction (McInnes, 2008, pp255). The use of nitroglycerin is however limited by side effects such as headache, low blood pressure and tachyplaxis (Reid et al, 2006, pp62-63). The tolerance to nitrates can be overcome by providing a nitrate-free interval of eight to twelve hours or by increasing the dose of nitrates. Beta blocker therapy is usually initiated within twelve hours of the start of myocardial infarction symptoms and usually continues for an indefinite period of time. Betablockers are started intravenously and then continued orally with the dose being titrated upward until the maximal dose that can be tolerated (Mozayani and Raymond, 2004, pp220-221).Treatment using a beta blocker has the effect of decreasing the occurrence of ventricular arrhythmias, reinfarction, and recurrent ischaemia. When given early enough, the beta blockers also reduce the size of the infarct and have overall reduce short-term mortality associated with myocardial infarction (ACC/AHA, 1999, pp). Beta blockers act by decreasing the force and rate of myocardial contraction. This decreases overall myocardial oxygen demand and with reduced oxygen supply, there is minimized myocardial death and injury (Roach and Ford, 2006, pp 350). Betablockers inhibit the sympathetic actions mediated by epinephrine. In blocking the sympathetic nervous system, beta blockers lead to a release of renin that in turn causes a reduction in the aldosterone release which causes the blood pressure to fall. They reduce the effect of physical exertion or excitement on the heart rate and also reduce the force of contraction as well as dilation of blood vessels (Mozayani and Raymon, 2004, pp224). The antianginal effects of the betablockers result from inotropic and chronotropinc effects that reduce the workload of the heart and the oxygen demand of the cardiac tissue. The negative chronotropic properties of beta blockers are responsible for the lifesaving property of control of heart rate. Betablockers have a number of adverse effects. Heart failure is the most recognized amongst this and the most serious. Other side effects include bronchospasm and bradycardia. The benefits in reduction of the risk for reinfarction and mortality however outweigh the side effects thus there are no absolute contradiction to the use of beta blockers in myocardial infarction. In addition to beta blockers, statins are also given for the purpose of lipid management. High LDL cholesterol levels are likely to increase incidents of acute myocardial infarction (Bolooki, 2009). Other hypertensive drugs helpful in controlling blood pressure Other treatments that can be used in the management of acute myocardial infarction include angiotensin converting enzyme inhibitors class of drugs which have been shown to decrease the mortality rates of patients who have reduced left ventricular ejection fraction. ACEIs reduce myocardial afterload by causing vasodilation. ACE Inhibotros also reduce the size of myocardial infarction and improve the remodeling of the ventricles. These effects have a benefit in reducing the mortality and morbidity of patients post infarction (American Family Physician, 2001, p1). Patients who cannot tolerate the ACEIs there Angiotensin receptor blockers are used. The angiotensin receptor blockers act by causing vasodilation and reducing the secretion of vasopressin. The angiotensin II receptor blockers also Case Presentation: Management of the patient Initial treatment for acute myocardial infarction is directed toward restoring perfusion so that the as much of the jeopardized myocardium as is possible can be salvaged. One of the ways through which this can be achieved is through thrombolytic therapy. Thrombolytic therapy is administered within twelve hours of the beginning of the symptoms (McInnes, 2008, pp255). Prehospital thrombolysis is indicated when there time of call to arrival will probably be over thirty minutes (ACC/AHA, 2006, pp240-241). The aim of thrombolytic therapy is to restore circulation through a blood vessel that has been occluded by a pathological embolus or thrombus. There is however a risk for bleeding complications especially with aspirin administration (Antithrombotic Trialists (ATT) Collaboration, 2009, pp1851). The potential for haemorrhaging increases with age, thus careful consideration is important in Andrew’s case (he is 70years old). Andrew will also have aspirin administered to him. The aspirin can be chewed or dispersible.   Aspirin has antiplatelet activity which interferes with platelet cohesion and adhesion an effect which benefits all patients with coronary syndromes (Mozayani and Raymond, 2004, pp338-339). Clopidogrel can be combined with low dose aspirin in cases of myocardial infarction with ST-segment elevation (Reid et al, 2006, pp61).The patient should also be put on supplemental oxygen to ensure that the red blood cells are fully saturated to the maximum carrying capacity. This consideration is important because myocardial infarction impairs the function of the heart in circulation which could lead to decreased oxygen uptake. To determine what treatment is appropriate it is important to view MI as part of a wide spectrum of coronary syndromes (ACC/AHA, 2006, pp238). This spectrum includes ST elevated myocardial infarction; non ST elevated myocardial infarction and unstable angina. Those patients who persistently have an elevated ST are considered for reperfusion therapy (ACC/AHA, 2006. pp238-239). Andrew is one of these hence thrombolyis is a very significant factor in his treatment process. For those who there is no ST elevation, this indicates that there may be no myocardial injury. Thus such a patient may not require immediate thrombolysis but can receive anti-ischemic therapy. The initial focus of the ECG is to determine whether there is an ST elevation or not. Once identified, then thrombolysis should be started. Because the pain from MI is intense, it requires adequate and prompt analgesia. The agent of choice for pain management is morphine sulfate. The morphine sulfate will be given at five to fifteen minute intervals. Precaution should be taken administering morphine as it has the likelihood of making hypotension worse which Andrew has. Additionally it also has the side effect of nausea which can lead to an increase in nausea. Since morophine increases the incidence of nausea, it should be administered with an anti-emetic. When myocardial ischaemia is reduced, the patient’s pain is also reduced, thus nitrates, oxygen therapy and betablocker agents all serve to complement the effect of morphine. Nitroglycerin should also be administered as it helps to relax the smooth muscles of vessels causing their dilation. It can be administered intravenously or sublingually. These modes provide a rapid onset of action. Nitroglycerin has its serum concentrations increased by aspirin thus dose adjustment may be necessary when giving both nitroglycerin and aspirin. Specific prehospital care will thus include, obtaining intravenous access, providing supplemental oxygen and providing pulse oximetry to monitor oxygen saturation levels. Immediate administration of aspirin will then follow coupled with administration of nitroglycerin to reduce the chest pain. Additionally, telemetry and a prehospital ECG will be provided for monitoring of the patient’s cardiac activity. Blood will also be taken for renal function tests, electrolytes, clotting screen, cardiac enzymes, C reactive protein, glucose, lipids and full blood count. Precaution however needs to be taken in administering nitroglycerin as Andrew already has a low systolic blood pressure. The patient is in hypotension with a blood pressure of 90/60 mmHg. Questions to ask the wife and patient Some of the questions that Andrew or his wife may be asked relate to compliance with the treatment that has been prescribed for him. Other questions include any life style habits that he may have. There is a possibility for difficulty in compliance with treatment due to the long term nature of the medication such aspirin and the beta blockers. Andrew will thus be asked about his compliance to the medication to find out whether he has been taking the medication as prescribed. It is also important to find out what effects the medication have when the patient takes them; that is does he feel relieved, does he have symptoms of nausea, haemorrhaging and   unawareness of hypoglycaemia. These are important to identify as they are some of the side effects of the drugs that could have a negative impact on his adherence to treatment. It is important for Andrew to maintain his lipid levels at a low point so other questions will revolve around the patient’s lifestyle such as whether he has modified his diet to decrease the intake of foods high in cholesterol, whether he is taking the statins to reduce cholesterol levels and whether he smokes or not and whether he has been participating in exercise. References ACC/AHA, 1999, ACC/AHA Guidelines for the Management of Patients with Acute Myocardial Infarction, 1999, A report of the American College of Cardiology/American Heart Association Task Force on Practice Guidelines (Committee on Management of Acute Myocardial Infarction). J Am Coll Cardiol. 34: 1999; 890-911. American Family Physician, 2001, Use of ACE Inhibitors in Treating Acute MI, available at http://www.aafp.org/afp/20000501/tips/4.html ACC/AHA, 2006, ACC/AHA clinical performance measures for adults with ST-elevation and non-ST-elevation myocardial infarction: a report of the American College of Cardiology/American Heart Association Task Force on Performance Measures (Writing Committee to Develop Performance Measures on ST-Elevation and Non-ST-Elevation Myocardial Infarction). J Am Coll Cardiol. 47: 2006; 236-265 Antithrombotic Trialists (ATT) Collaboration, 2009, Aspirin in the primary and secondary prevention of vascular disease: collaborative meta-analysis of individual participant data from randomised trials, Lancet.  May 30  2009; 373(9678) pp1849-1860 McInnes G, 2008, Clinical Pharmacology and therapeutics of hypertension, Elsevier Health, ISBN-13: 978-0-444-51757-9 Mozayani A and Raymon LP, 2004, Handbook of drug interactions: a clinical and forensic guide, Humana Press Reid JL, Rubin PC and Walters RM, 2006, Lecture notes: clinical pharmacology and therapeutics, Wiley-Blackwell Roach SS and Ford SM, 2006, Introductory Clinical Pharmacology, Lippincott Williams and Wilkins Rubenstein D, Wayne D and Bradley, 2003, Lecture notes on clinical medicine, Wiley-Blackwell

Thursday, November 14, 2019

Depression and Body Image Essay -- Psychology Health Essays

Depression and Body Image American society places a tremendous emphasis on physical appearance. Many adolescent girls go to great lengths to achieve these unrealistic standards of thinness. Eating disorders have become a prevalent disease in Western society. Dissatisfaction with one’s physical appearance is viewed as a core feature of eating disorders. A negative body image is also a common feature associated with depression. There appears to be a link, although unclear, between depression and a poor body image. Adolescence is a tumultuous period in one’s life. Bodies of adolescents are dramatically changing, and these physical changes are associated with changes in body image. Body image pertains to how individuals view and assign meaning to their own bodies. It is a reflection of body structure and function, early and continuing body related experience, life long social response to body appearance, and sociocultural values and ideals regarding the body (Reirdan, 1997). Adolescence: A Period of Dramatic Change A normative developmental task for both girls and boys is to assimilate pubertal change into a positively valued body image. This task is more difficult for girls than for boys; girls are more concerned about attractiveness than boys, and they are less satisfied with their appearance (Rierdan, 1989). In a list of body areas, girls were more concerned that their thighs, buttocks and hips were too large. Even normal to thin girls were highly likely to desire smaller thighs, buttocks or hips. It is interesting to note that younger girls, aged 10-12 years, were less likely to select areas of sexual attractiveness, but tended to be dissatisfied with areas such as teeth, face, and feet (Moore, 1993). It is clear th... ...ior in Adolescents. Journal of the American College of Nutrition, 12, 505-510. Morey, D., Morey, L. (1991). The Vulnerable Body Image of Females with Feelings of Depression. Journal of Research in Personality, 25, 343-354. Noles, S., Cash, T., Winstead, B. (1985). Body Image, Physical Attractiveness, and Depression. Journal of Consulting and Clinical Psychology, 53, 88-94. Rierdan, J., Koff, E., Stubbs, M. (1987). Depressive Symptomolgy and Body Image in Adolescent Girls. Journal of Early Adolescence, 7, 205-216. Rierdan, J., Koff, E., Stubbs, M. (1988). Gender, Depression, and Body Image in Adolescents. Journal of Early Adolescence, 8, 109-117. Rierdan, J., Koff, E., Stubbs, M. (1987). A Longitudinal Analysis of Body Image as a Predictor of the Onset and Persistence of Adolescent Girls’ Depression. Journal of Early Adolescence, 7, 205-216.

Monday, November 11, 2019

Broken Family Essay

Family is the basic components of the society. And the parents are the most important source of youth’s behavior, which effect to their outlook in life. A home is where a family lives. It may be alternated to the word ‘house’ but a house is more appropriately referring to the material structure, whereas ‘home’ refers to the intangible things that bind together the family members. So if the parents are separated, how does it affect the youth and what can they do about it? When parents split up, there can be many emotions that a youth may have to deal with. These feelings, internalized or expressed, will result in certain behavior that will possibly affect to the youth’s outlook in life. And these feelings can cause a big impact in their performance study, socialization and personality. The most common dispute between a husband and a wife is the financial issue. This is rooted when the father, which should be the provider for the family, can’t give enough money for the sustenance of the whole family. Or early marriage could be the reason of the financial setback. Teen pregnancies are very much high in rate in the last decade. A couple that haven’t able to finish studies and started a family early would likely experience difficulty in monetary aspects. An undergraduate would have a hard time finding a lucrative job. Not mentioning that building a family needs a steadfast preparation particularly financially. BACKGROUND OF THE STUDY What is a broken family? It is a family with the children involved where parents are legally or illegally separated and whose parents have decided to go and live their lives separately for several reasons/problems. It is one where the parents (mother and father) of a child or children have split up and no longer share a single family home as a family unit. This is also known as a broken home. â€Å"Broken home† is a term used to describe a household, usually in reference to parenting, in which the family unit does not properly function according to accepted societal norms. And we choose this topic to inform other people what are the possible things that they can do to help themselves and the others who are in the same situation to overcome their negative emotions brought about by having an incomplete family.

Saturday, November 9, 2019

The Higher Animal Essay

Mark Twain’s â€Å"Damned Human Race,† uses a combination of pathos and logos in his article, but within his article Twain had some misconceptions with his arguments. Mark Twain essay, consisted of personality and outlooks between animals and mankind by comparing them to each other.. Throughout the essay he took a variety of animals, and study their traits and how they survive and then compared them to longevity of mankind. Twain came to the conclusion that Descent of Man came from the Higher Animal (Twain), he no longer believe in Darwinian theory which concluded that Ascent of Man came from the Lower Animals. Mark Twain attempts to grab the attention of the readers by using pathos and logos in his work, Twain main purpose is to generally entertain the audience by proving his point while having fallacies within his own writing. Twain used pathos in his written, hunting was used as a example in which Twain tried to connect people with hunting. By connecting those with the same interest, he was able to gain the attention of the reader because they could relate to his findings. Authors use pathos to invoke sympathy from an audience; to make the audience feel what the author wants them to feel (â€Å"Examples of Ethos, Logos and Pathos:). The first occurrence of Twain using pathos, is when he relates to hunting. â€Å"In the course of my reading I had come across a case where, many years ago, some hunters on our Great Plains organized a buffalo hunt for the entertainment of an English earl† (Twain). Pathos was used to tie this to people who like hunting as a sport or people consider themselves hunters. The second occurrence of Twain using pathos to relate to the reader is when he refers to money. Twain wrote, â€Å"I was aware that many men who have accumulated more millions of money than they can ever use have shown a rabid hunger for more, and have not scrupled to cheat the ignorant and the helpless out of their poor servings in order to partially appease that appetite† (Twain). Twain usages of pathos was intended to draw certain readers to his article, he used it very effectively by giving good examples throughout his article. Along with pathos, Twain used logos to gain the reader’s attention in his article to draw the reader closer. Logo is when an author uses facts and  statistics, historical and literal analogies, and citing certain authorities on a subject (â€Å"Examples of Ethos, Logos and Pathos:). In his article, he uses his own inquisition and analysis to prove his certainty. Twain wrote, â€Å"Among my experiments was this. In an hour I taught a cat and dog to be friends. I put them in a cage†(Twain). Another example of pathos used by Twain is when he describe the experiment between anacondas and some calves. The anacondas was satisfied with only one calve and did not harm the other ones. The author used his own research to entertain his readers by comparing mankind with a anaconda. He persuasively was able to gain attention from other readers by using pathos in his writing. â€Å"The Damned Human Race,† by Mark Twain, was very compelling but some of his fact were untruthful. Within Twain writing he had some fallacies, which weakens and undermine his argument as a author. Twain voice his feeling in his article, instead of giving reasonable data or facts to prove a point. Fallacies were used in the writing, it did not overwhelmed what the author was trying to prove to the reader. The information was well presented to the reader without any trouble understanding it. Mark Twain’s article, â€Å"The Damned Human Race† was well written and keep the reader’s engaged by using pathos and logos. By having the author use pathos in his article, the audience was able to bond with this article because they could relate to it in some type of way. Also, by having logos within his writing allowed him to gain the attention of mature readers by using intelligence arguments. Although, Twain had scattering cases of fallacies in his article, it did not any negative impact on the article. Mark Twain’s article was very enjoyable and well drafted, by being able to get his point across without losing the interest of the reader. Work Cited â€Å"Examples of Ethos, Logos and Pathos:.† Ethos, Pathos Logos Explanation and Examples. N.p., n.d. Web. 22 Apr. 2014. . Twain, Mark.†The Damned Human Race.† Moodyap.pbworks.com.n.d.Web. 23 Jan 2014.

Thursday, November 7, 2019

China and Argentina Natural Resources Essay

China and Argentina Natural Resources Essay China and Argentina Natural Resources Analysis Essay Example China and Argentina Natural Resources Analysis Essay Example China and Argentina: Beyond the Quest for Natural Resources The relationship between China and Argentina is referred to as Sino-Argentine relations. This relationship was initially difficult to establish due to Argentina’s close proximity to the Unites States and the U.S sphere of influence. Furthermore, Argentina considered China as an unfriendly country due to its Beijing Communist regime. However, the two nations managed to overcome the difficulties mentioned and have established a bilateral relationship, which has blossomed over the years. Consequently, this bilateral relationship has formed a basis for mutual respect and peaceful coexistence between the two nations (Yongnian 34). In addition, this bilateral relationship has witnessed the development and cooperation in various sectors such as agriculture, trade, politics, military, cultural and technological sectors. The most significant reason behind this deepened relationship is China’s economic development, which has grown over time to become one of the world’s lar gest economies. Therefore, the relationship between these two countries is one of integral strategic significance. The states mainly cooperate in areas such as migration, investment, trade, military sphere, science and education, culture and politics. In addition, the nations enjoy close ties in international conferences and organizations. This paper highlights the historical events in the relationship between China and Argentina and critically analyses them. The Major Historical Events between China and Argentina The 1972 Agreement on the Establishment of Diplomatic Relations As mentioned above, in the beginning, Argentina was very hesitant about establishing relations with China due to its Beijing communist policy. However, later on Argentina realized the advantages it could receive as a country if it established diplomatic relations with the Asian giant. As a result, the two nations started making plans to achieve this goal (Bell 56). The need to establish political relations between the two states was fuelled by their need for adequate diversity of external links. In addition, both China and Argentina shared similar ideologies in various international forums. Their political relationship was necessary for the purpose of economic growth of both nations. Before 1972, there were a few diplomatic relations between China and Argentina. In 1945, the Latin American and Asian giant entered into initial negotiations aimed at establishing diplomatic ties between them (Wouters, Defraigne, and Burnay 40). However, these negotiated diplomatic ties were not very active while there were not many diplomatic exchanges taking place between them. Despite this fact, 1972 marked the most significant change in China-Argentina diplomatic relations (Brown 27). This is the year when full diplomatic relations were established between the two states. It happened during the China-Argentina negotiations for normalization of diplomatic relations, which took place in Bucharest, the capital of Romania. Following the summit meeting between the leaders of China and Argentina in Bucharest, a joint communiquà © by the two countries was held. It was announced that the two governments had signed an agreement to set up diplomatic relations. From the time this announcement was made, the diplomatic ties between the two nations continued to expand, and the states fortified their overall relations. For instance, the political, economic, and cultural ties between China and Argentina have grown rapidly since the establishment of diplomatic ties in 1972 (Womack 71). Analysis The new diplomatic relations represented the first landmark in bilateral relations between the two countries. In a move to obtain diplomatic representation of Argentina in China, the Latin American country opened its embassy in Beijing, China’s capital. In addition, to further solidify its diplomatic ties with its Asian partner, Argentina opened a consulate-general in Hong Kong and another in Shanghai (Edwards 85). The establishment of the embassy and the consulate has been very crucial in shaping the present immigration relationship between China and Argentina. At present, Chinese immigrants are the main Asian immigrants to Argentina. Similarly, this diplomatic relations between China and Argentina played a significant role in the establishment of close political ties between the two countries despite their differences in ideological views. These diplomatic ties enabled the two countries to provide support to each other in international forums. For instance, in 1982 China supported Argentina in the Malvinas/Falklands war when it abstained from voting in the United Nations Security Council (Ellis 60). Similarly, Argentina returned the favor by refusing to join the other western countries in imposing sanctions against China after the 1989 Tiananmen Square Massacre. Lastly, the existence of diplomatic ties has enabled the smooth development of bilateral trade between China and Argentina. There has been an increase in trade activities between Argentina and the Asian giant, a key factor to the economic growth experienced between the two trading partners (Williams 75). One of the reasons behind this deepening economic relationship is better negotiating conditions, which facilitated reaching an understanding between the two economies. Today, Argentina is one of the major trading partners of China in Latin America. With regard to China and Argentina’s diplomatic ties, I think that the main connecting factor between these two countries is the mutual economic benefits. This is supported by the fact that a large percentage of bilateral agreements signed between the two countries mainly consist of trade agreements (Brown 72). Moreover, the two economies are constantly trying to discover new ways of improving and increasing their bilateral trade ties. The Historical Signing of China and Argentina’s First Trade Agreement Before the establishment of diplomatic ties in 1972, the trade between the Latin American and Asian giant had been developing at a slow rate (Hearn and Leon-Manriquez 78). The absence of diplomatic dealings between the two countries was the major obstacle to the development of economic ties as well. As a result, there were very few trade and investment ties between Beijing and Buenos Aires. This was mainly due to the lack of proper trade mechanisms to provide guidance to trade activities between the two nations. With the lack of clear means to control trade activities between them, trade was therefore forced to grow at a snail’s pace. The trade between China and Argentina continued at a slow pace. However, this slow evolution of trade between Argentina and China advanced considerably when the Chinese and Argentine governments entered into negotiations with the aim to improve their trade and investment relationship. These negotiations between the two countries were successful and consequently resulted in the signing of the first bilateral trade agreement between the Government of People’s Republic of China (PRC) and the Government of Republic of Argentina in 1977 (Williams 84). Analysis The signing of the first trade agreement between China and Argentina was significant in establishing bilateral trade ties between the two nations. This trade agreement created mutual beneficial economic ties between the two states. Since then, there has been smooth development of bilateral trade ties between the two countries. These bilateral trade ties have reached unprecedented new horizons over time, and today China has become Argentina’s third largest trading partner after South America and the European Union. The two trading partners continuously sign additional trade deals with one another, leading to the growth of the bilateral trade volume. For instance, by 2011 the Chinese and Argentine trade volume rose to $17 billion (Jilberto and Hogenboom 78). To further reinforce economic ties and promote the growth and development of trade with China, Argentina set a trade promotion center in Shanghai in 2000 (Brown 67). The two nations export and import various products between their borders. The export structure from Argentina to China is strongly concentrated on soy products, more explicitly on soy oil and soy beans. Soy beans and soybean oil make up about 76 percent of total exports from the Latin America country to China (U.S. International Trade Commission 45). The other products exported to China from Argentina mainly consist of agro-industrial products. Finally, various bilateral trade agreements signed between China and Argentina are the main reason behind the skyrocketing investment ties between the two countries. They set up various investment enterprises, which played a crucial role in the economic development of both countries. For instance, by the end of 2002, about 28 Chinese-invested enterprises had been registered in Argentina (Schirokauer and Brown 22). These enterprises are mainly involved in economic activities such as processing and production, exploitation of resources, agriculture and fishery. By 2014 the bilateral trade agreements between the two countries had evolved to include investment in hydroelectric power, railway and ship building. In my opinion, the signing of the first trade agreement between China and Argentina was the key factor that opened up trade between them. Without this trade agreement, the economic relationship between the two countries would not have developed to the extent it is today. Argentine President Jorge Rafael Videla’s Historical Visit to China In 1980, Argentina’s President Jorge Rafael Videla paid an official visit to China. It was the first Argentinean official presidential visit to China (Kavalski 87). The visit played a momentous role in the expansion of bilateral relations between China and Argentina. The President’s five day visit to Beijing included official talks with his Chinese counterpart to discuss various matters concerning their diplomatic relations. During these official talks the heads of the states discussed the importance of the need to improve their economic partnership. In addition, President Videla commended China’s people in their efforts to safeguard their sovereignty and develop their economy. The heads of the states signed a comprehensive agreement involving trade, culture and financial cooperation. Since then, China and Argentina have had frequent mutual visits. For instance, since the 1990s, there have been about 50 official visits by government representatives from China and Argentina (Locatelli 90). Analysis President Videla’s state visit to China was historical because it was the first official visit by the Argentina’s President to China. It was an indicator of development of bilateral cooperation between Argentina and China. More specifically, the visit had a great bearing on the expansion of trade between the two countries. Subsequently, after this historical visit the Chinese and Argentine economic relationship underwent rapid development within a short period of time. Consequently, the two economies started to sign various strings of bilateral trade agreements aimed at increasing their economic collaboration (Schirokauer and Brown 45). The two countries had just discovered the fundamental trade benefits for both of them. Since the discovery of the potential mutual benefits that the Chinese and Argentine economic cooperation could provide, the two countries put additional efforts towards the expansion of trade between them. Thus, they tried to find ways to elevate their bilateral trade ties to a new level. They did this by increasing their collaboration in the fields such as fishing, agriculture, mining, animal husbandry and the processing of wine. By exploring these new fields, the two economies were able to enter into various new bilateral trade deals with each other (Yongnian 89). The strong China-Argentina economic collaboration had officially been inaugurated by this entry into new economic fields. Overall, China and Argentina continued to enjoy numerous benefits brought about by their continuously evolving trade partnership over the years. Their bilateral trade relationship has advanced into a variety of new phases over a long period of time. At the moment, the investment and trade ties between China and Argentina have expanded to almost all sectors of economy. In my opinion, President Videla’s visit to the Asian country was a step made by Argentina to obtain China’s favor in terms of trade. It was obvious that Argentina needed China more since its economy was struggling while China was developing into an economic giant at a rapid pace. His visit was therefore aimed at strengthening the economic ties between them for Argentina’s benefit. Chinese President Yang Shangkun’s State Visit to Argentina In 1990, President Yang Shankun visited Argentina at President Carlos Saul Menem’s invitation (Wouters, Defraigne, and Burnay 56). The two presidents held talks in Buenos Aires and signed an agreement to carry out cultural exchanges between their countries. These cultural exchanges have greatly expanded over time to include fields such as art, sports, education, science and technology, and the media. In addition, the two governments signed an agreement on promotion and establishment of joint ventures and political consultation mechanism between them. This agreement resulted in political consultations between the foreign ministries of the two states. Analysis President Yang Shangkun’s state visit to Argentina in 1990 played a considerable role in the integration of Chinese and Argentine culture (Brown 44). The joint efforts of the two sides have greatly expanded cultural interactions. China-Argentine culture has grown to incorporate such fields as art, science and technology, education, film and TV programs. China and Argentina have held several cultural activities to promote each other’s culture. For instance, in October 2000, China held the Beijing Culture Week in Buenos Aires, the capital of Argentina. Similarly, Argentina held the Buenos Aires Culture Week in China the following year. Currently, the Chinese culture has grown to become a large part of the modern Argentine culture. For example, the development of a relatively small Chinatown in Buenos Aires is a clear indication of the increased Chinese-Argentine presence. Furthermore, the presence of the Chinese culture has been intensified by the increased use of Mandarin Chinese language (Hearn and Leon-Manriquez 90). A lot of Argentineans study Chinese because of the growing Chinese market and diplomacy in Argentina and around the world. Overall, China-Argentina cultural integration has already been lined into their culture and continues to increase, further bringing the two nations closer. In addition, this visit marked a milestone in the development of bilateral relations between China and Argentina as it broke China’s diplomatic isolation. The China’s communist system of government caused its isolation from the rest of the world. President Yang Shangkun’s state visit to Argentina was very significant in China’s integration into the rest of the world (Locatelli 102). Since then the countries have maintained close bilateral relations and over time their economies have become highly complementary. In my opinion, this visit was a move by China to strengthen its presence in Latin America through Argentina. By visiting Argentina, China aimed to show that it could have friendly relations with Latin Americans and thus to encourage other Latin American countries to establish ties with it, fulfilling its longtime wish to increase its presence in Latin America. Historical China’s Visit of Argentine President Fernando de la Rua In September 2000, Argentine President Fernando de la Rua visited China. The invitation was made by Chinese President Jiang Zemin (U.S. International Trade Commission 23). The head of the state and his delegation were honored at a welcome ceremony hosted by President Jiang. Thereafter, the two presidents held talks with each other covering mainly bilateral ties between their two nations and the ways to provide support to each other. The five day state trip played a significant function in Argentina’s decision to support China’s need to join the World Trade Organization (WTO). Consequently, the two governments signed an agreement that resulted in China finally becoming a member of the WTO. It is also important to highlight that the two presidents also signed an agreement on technological cooperation. As a result, a memorandum of understanding between an Argentine Internet company and a Chinese radio station, China Radio International (CRI) was signed in April the following year, which was essential in promoting information technology collaboration. Since the signing of the agreement on technological cooperation between China and Argentina, their collaboration has grown tremendously to include fields such as astronomy, agriculture, and research (Williams 44). Analysis President Fernando de la Rua’s visit to China was important to China’s accession to the WTO. His meeting with Chinese President Jiang Zemin facilitated negotiations regarding China’s application to the WTO. China had been involved in lengthy negotiations, involving its wish to become a member of the global trade organization. As a result of the meeting, an agreement was finally reached and signed, granting China a membership position in the WTO on December 2001 (Womack 81). The visit was equally significant in the advancement of technological alliance linking the two nations. The signing of the first technological agreement signified the evolution of China and Argentina technological relations. Currently, China and Argentina’s technological ties have advanced to comprise areas in the military, information technology (IT), and in state research institutions, commonly referred to as digital triangles. The trade and investment ties between Beijing and Buenos Aires have deepened over years. Chinese companies are operating freely in Argentina, with businesses ranging from fishery, energy, finance and mineral exploration. Similarly, Argentina carries out several economic activities in China. Today, China has grown to be Argentina’s third largest source of investment and its second largest trading partner (Bell 77). In my opinion, China’s decision to invite Argentina into their country was a calculated move to secure Argentina’s help in achieving their desperate desire to join the World Trade Organization. It is during this visit that an agreement to secure China’s membership in the global trade organization was signed. Therefore, China initiated the visit only to benefit from it and not necessarily to strengthen ties. Conclusion In conclusion, Sino-Argentine relations have greatly expanded since the establishment of diplomatic ties between them in 1972. China and Argentina have continued to enjoy closer relations with each other, which have skyrocketed in recent years. To understand the nature of these relations, one should explore all ties between the two nations. Bilateral relations between China and Argentina involve political, economic and trade, cultural and military ties. Presently, the cooperation between the two nations has deepened and grown to include such areas of collaboration as science and technological advancement in the field medicine, astronomy, research and agriculture. Despite the development of these new areas of cooperation between the two states, their bilateral trade agreements remain the most significant. China and Argentina have entered into numerous bilateral trade agreements over the years, which have proved beneficial for both countries. In order to maintain strong relations betwe en the two countries, it is crucial to continue valuing each other’s role in their respective economies. China has shown how much it values its partnership with Argentina by continuing to trade with the Latin American country despite its visible economic struggles, further strengthening their Sino-Argentine relations.

Monday, November 4, 2019

Baby-Boomer Retirement Essay Example | Topics and Well Written Essays - 750 words

Baby-Boomer Retirement - Essay Example Therefore the longer the working duration and the larger the number of earnings made, the higher the benefits received. Social security is, therefore, a vital part of a workers retirement plan. Â  After World War II, birth rates in the world tremendously increased. Statistics show that about 64million American children were born in the US during this period. The kids that were born between the years 1946 and 1964 were referred to as baby boomers. The large economic growth in the 90s is attributed to the boomers. In 2004, U.K boomers controlled 80% of U.K’s wealth. The majority of the workforce today is represented by this group (Walker, 2004). Â  Social security fund is designed in such a way that the benefits retirees of today get are paid from the contributions received from today’s working population. Over the years, the beneficiary to working population has been sustained because fewer people were retiring as compared to the number of people entering the workforce; thus the system was able to accumulate more revenues. Increase in life expectancy and the decrease in birth rates has posed a threat to the beneficiary-worker ratio; few people are now joining the workforce as compared to the many who are almost retiring. Â  In 1935, the year when social security funding was formulated, the life expectancy of a 65-year-old was 12.5years; in 2012 it had risen to 17.9 years and is projected to rise to 19.5 by the year 2030.The National Academy for Social Insurance projects that the beneficiary to worker ratio will rise to 46 percent by 2030. Â  There are fears that the massive onset of the boomer's retirement may bankrupt the system. This is because the surplus contributions made over the years will be used in paying out their benefits.

Saturday, November 2, 2019

Employment Discrimination- Legal research term project Paper

Employment Discrimination- Legal term project - Research Paper Example It is essential to understand the content of employment laws that prohibit discrimination because inadequately following these laws may cost a company vast resources as a result of litigation if that company is not careful to prevent discriminatory practices in its hiring and employment. Employment discrimination is discrimination in the process of hiring, promoting, assigning, terminating, or compensating employees, which includes any kind of harassment or on-the-job persecution.2 Most often, this kind of discrimination is defined in terms of an impact on members of a particular class or category of people, such as ethnicity, gender, or disability. Measuring discrimination relative to the effect on members of protected classes is necessary because without membership in particular classes of people, there would be no basis for people to discriminate or hold prejudices against others. Clearly, discrimination can either occur on an explicit or implicit level, which corresponds to the d ifference between intentional and unintentional discrimination. In the case of unintentional, or implicit, discrimination, there may be subconscious biases or prejudices that a hiring manager may have against people of a certain group (e.g. that physically handicapped people are below average in intelligence) can cause a disparate impact on that group, simply through the manager’s hiring decisions.3 This impact may extend past the hiring process and into the areas of wage discrimination and workplace retaliation for various reasons. There are Constitutional limits on employment discrimination such as the Fifth and Fourteenth Amendments, as well as a number of Federal laws. Although Constitutional dictates are universal, they apply only to employment in government and not in the private workplace. Among the most important pieces of Federal legislation against employment discrimination is Title VII of the Civil Rights Act of 1964, which prohibited discrimination based on race, color, religion, sex or national origin regarding terms, conditions, and privileges of employment. This coincided with the granting of civil rights to minorities in the United States in other areas of public life not expressly dealing with employment. One year prior to the CRA, the Equal Pay Act (EPA) of 1963 banned compensation for employees that differs based solely on sex and not on any other factor relative to the job. While it does not exclude other discriminatory practices in hiring, one of the EPA’s conditions is that workers who perform equal work in jobs requiring â€Å"equal skill, effort, and responsibility and performed under similar working conditions† should be provided equal pay.4 Although the pay differential between the sexes has not evened out completely since 1963, the law has been successful in paring much of the deficit. Employment