Witchcraft and the Gothic in the Victorian Short Stories

Short stories could be considered as the integral part of literary genre. It would be correct to say that any society of any era believed that through short stories they could pass on their cultural values and experiences to their coming generations. From time to time even films and serials were also directed and produced on different kinds of stories like moral stories, stories for kids, stories of witches and ghost. Ghost stories could be termed as weird or horror stories. Ghost stories lead to supernatural elements possessing terror, bloodshed, and fear in a human being that could lead to hallucination. Some ghost stories have a theme of haunted house; some depict ghosts as the central figure in their series. In fact there is no era which did not have its own kind of ghost stories .Fairy tales, the stories of witches and ghosts were popular in the Victorian era. Gaskell, Dickens and Willkie Collins were writing in this genre.

The Victorian Age produced giants like Dickens, Thackeray, Trollope, Kingsley, Bronte sisters and among them Mrs. Gaskell a well-known writer of social realism and a biographer of Charlotte Bronte also tried her hands on ghost stories. Witchcraft mystery, social norms and family curses were the themes of her short stories. Best known for her debut novel Mary Barton she was one of the pioneers of short stories. Many of her short stories were published in collaboration with Dickens in weekly magazines like 'Household Words' (1850-59) and 'All the year Round' (1859-1895). As a creative artist she had a distinctive characteristic of naturally narrating a story. Angus Easson has rightly said, "Elizabeth Gaskell found it natural to tell stories and she told them well because she was a natural (not an artless story teller" Further a friend Susanna Winkworth adds to her power and art: "No one ever came near her in the gift of telling a story. In her hands simplest incident –a meeting in the street, a talk with a factory girl a country walk, an old family history became picturesque and vivid and interesting."

Some of Mrs. Gaskell's stories are Christmas stories; some are to show superstition, some are full of suspense, depicting sensation mystery, fear, horror and witchcraft. These stories were popular in the Victorian age. Religion and Church taught that the ghosts existed in the world and people believed in ghosts and witchcraft. Many scientific theories challenged the existing beliefs of the people but could not shake their faith in religion completely. Belief in the supernatural made people felt that how vampires and ghosts haunted the palaces, castles, mansions and public places and the parks. Screaming sounds could be heard, something walking in white and invisible hands could be seen. They were the devils who ran around. Even in the 14th Century black plaque ghost stories were shared and talked about in whispers.

My Article explores the idea of supernatural and such practices prevalent in the Victorian Age. The supernatural short stories are critiques of human behavior in a particular society; such stories could show the individuals psychology and psyche.

One of Mrs. Gaskells a true horror short story, The Old Nurse's story was published in 1852 could be marked as a classic ghost story in which ghostly apparition appear from time to time. The narrator of the story is an old nurse named Hester who narrates the old mysterious happenings faced by her and to the children of Rosamond. Rosamond after her parents death came to stay Furnivall's Mansion. Rosamond, in fact was a child under Hester's care. Rosamond then becomes a mother of several children for whom Hester had again became a caretaker. One of the mysterious happenings which took place in the Furnivall's mansion was a strange sound heard from the old playing organ placed in the mansion's hall. After sometime, Rosamond mysteriously disappeared staying at the manor house. Hester experienced very weird and terrifying shrieks inside the house. Mrs. Maude and Miss Grace were the two daughters of Lord Furnivall. One of them, Miss Maude was married to a foreign musician in a secret manner. After her marriage she became the Mistress of Furnivall's house and gave birth to a girl child who later died. It was assumed that the phantom of this dead child used to haunt the house and a weird kind of sound could be heard. Hester narrates her experience that, "As winter drew on, and the days grew shorter I was sometimes almost certain that I heard a noise as if someone was playing on the great organ in the hall. I did not hear it every evening but certainly, I did very often usually when I was sitting with Miss Rosamond." Other weird happening in which apparition was seen is depicted very well 'Oh Hester! Hester! Cried Miss Rosamond. It's a lady!' the lady below the holy trees and my little girl is with her. Hester! Hester! Let me go to her; they are drawing me to them. I feel them - I feel them. I must go!" "The terrible phantoms moved on" .This is how Mrs. Gaskell had a fascination for narrating these kinds of weird and freaky stories.

The other short story 'Lois the Witch' was first published serially in 1859 in the periodical, All the Year Round edited by Charles Dickens. This short story is set in the year 1691, depicts religious intolerance in the community of Massachusetts Salem where people were controlled by superstition. In fact "Mrs Gaskell, gained a lot of her material for Lois the Witch from the book lectures on witchcraft: comprising a History of the Delusion in Salem in 1692 by Charles Upham which was written in 1831." When Lois Barclay, an Anglican orphaned young girl came to stay with her uncle's family from Old to New England, she finds that the entire atmosphere of her uncle's family was depressing. Cousins of Lois had their own fears and frustrations who did not willingly accept Lois' stay at their home. The story revolves around the central character Lois and moves ahead with other characters, Faith and Prudence, female cousins of Lois and her male cousin Manasseh. Though Manasseh had a soft feeling for Lois and he wanted to take her as his wife but in futile. Both female cousins were jealous of Lois and had a bad feeling for her. One of the reasons of fears of Faith was that Lois may not come in between her love for a young Pastor Mr. Nolan. Faith is the one who accuses Lois Barclay of witchcraft. Accusation of witchcraft came from both the cousins.

They sarcastically remarked "'Take care, another time, how you meddle with the witches things, 'said Faith, as one scarcely believing her own words, but at enmity with all the world in her bitter jealousy of heart. Prudence rubbed her arms and looked stealthily at Lois. 'Witch Lois! Witch Lois!' said she at last, softly pulling a childish face of spite at her." This is how the rumour of witchcraft for Lois erupted from her uncle's family. The story is written in a historical context. As "The rumour of witchcraft was like the eco of thunder among the hills. It had broken out in Mr. Tappau's house and his two little daughters were the first supposed to bewitched; ?" Faith with her wretched feelings for Lois, cried"'Let the witch hang ! What care I ? She has done harm enough with her charms and her sorcery on Pastor Tappau's girls. Let her die,.." Lois, when accused by the judges utters in pitiable words. "'Sirs, I must choose death with a quiet conscience, rather than life to be gained by a lie. I am not a witch. I know hardly what you mean when you say I am." Angus Easson as rightly said, "Belief in witchcraft is a force that feeds upon the entwined desires of those in community, township and family, feeds too upon the individual heart, which is powerful for wickedness as well as for love, and the story insists upon the tragic consequences for Lois" .

By presenting such kinds of stories Mrs. Gaskell wanted to raise a kind of a question and tries to find a solution to this kind of evil and satanic thinking. The purpose of the story is to condemn these kinds of religious persecution and mass hysteria. Rebecca Styler very well said that, "Gaskell sees the root of evil as societies placing a barrier between themselves and the other." As Mrs. Gaskell had a humanitarian outlook she somehow had regretted this kind of cruel human behavior.

Did you like this example?

Cite this page

Witchcraft and the Gothic in the Victorian Short Stories. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

I was Accused of Witchcraft

How dare these girls! Who are they to accuse me of such a sin as witchcraft? I moved to Salem forty years ago and have dedicated myself to this congregation ever since. I have lived the way God would have wanted me to and this is what I get in return? It must be a mistake. There is no way they could have seen me in any vision. The only way that could be, is if I were a witch and I am not. These girls are just stirring up some ruckus. Surely, this trial will prove my innocence when I am found not guilty by the jury. Then, my life can resume back to normal.

The day has come for my trial. I will not plead guilty because I know I am no witch! I figured this trial would move fast because they have no spectral evidence against me, how could they? The trial was going well. At first, the jury found me not guilty of witchcraft. My freedom was close enough for me to get a whiff of, until those wretched girls came screaming to the jury to reconsider. I knew I was innocent, but I had to stand there as if I was not. They began asking me more questions, but my hearing was so bad that I could not understand them. I had trouble answering them which caused the jury to change their verdict to guilty. I found this outrageous. I am seventy-nine years old. Why would I have any reason to commit such a sin at this age. I would never hurt a fly! They put me in the cellars, where I am waiting to be hanged. I pray to God about this misunderstanding and that he will save me, but I fear my faith in him is fading. All my life, I served him. I went to church more than anyone else and raised my children right. Yet, I am sitting here in jail. I do not deserve this punishment. I am innocent!

Today is my last day before I am set to be hanged. I feel saddened, but I will not dare cry a tear in front of the congregation. I will stay strong for myself and for my family. The congregation may believe me to be guilty; however, I know I am innocent in the name of the Lord. Tonight will be tough. They will try to make me confess to that wicked sin. There is a chance that they will not hang me if I do confess, but no matter what, I will not! I will enjoy my last few hours of this life. I truly hope that in my time of dying, the congregation will realize what they have done. I am sure not everyone believes me to be a witch. Many people spoke highly of me to the jury. Someone must know this is wrong. I know my death cannot be stopped, but I hope that it will help end these dreadful witch trials.

Did you like this example?

Cite this page

I Was Accused Of Witchcraft. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Industrial-Organizational Psychology: Cultural Diversity

Introduction

For the first 60 years of industrial-organizational psychology there was no connection between psychologist and the legal community, that was until 1964 when the Civil Right Act, a Federal legislation aimed at reducing discrimination, was passed intending to protect the rights of Black men and Women whom where denied access to collages, restaurants, and jobs. Although discrimination is a legal issue and not a psychological concept, I/O psychologist were drawn to Title VII of the Civil Rights Act, which defined employment discrimination. The Government Would then on intervene in employment decisions-and behavior, monitoring the entire procedure to ensure fairness and selection. (Muchinsky & Culbertson, 2016). The Civil Rights Act not only protected the rights of Black men and women but identified protection for race, sex, religion, color, national origin. 

In 1990 the Americans with disabilities act (ADA) was in acted by President George HW Bush and, later amended in 2008. Disability became the seventh protected group, disability is defined by the ADA as a physical or mental impairment that substantially limits one or more of the major life activities; seeing, hearing, walking, learning, breathing, and Working. The act states that an employer must provide persons with disabilities reasonable accommodation and being evaluated for employment and in the conduct of their jobs. The premise behind me act is that individuals with disabilities can effectively contribute to the workforce and they cannot be discriminated against in employment decisions because of their disabilities. (Muchinsky & Culbertson, 2016)

This brings us to diversity, diversity is frequently cited and both popular in large corporations. The word diversity derives from diverse meaning different. Diversity especially becomes important in personal selection, representing one goal of organizational staffing. Diversity is typically measured by calculating the percentage of each of the seven groups protected by federal law in the composition of the organization’s workforce.  The application of workplace diversity creates a fundamental paradox, organizations want employees performing at the same high-level the intent of recruitment, selection, training, and performance management is to achieve equal levels of job performance in all employees across the organization. However, the intent of diversity in the workplace is to achieve that uniform high-performance through different identifiable groups of people found in society. (Muchinsky & Culbertson, 2016)

Organizations are keenly aware That diversity is an index of being a socially responsible employer, but organizations differ in the extent to which they achieve a diverse workforce (reality) and whether they talk actively about their efforts (Rhetoric), (Muchinsky & Culbertson, 2016). It is argued that it is more valuable to focus on inclusion than diversity. Winters offers this distinction; “diversity is the mix. Inclusion is making the mix work,” (Muchinsky & Culbertson, 2016). Diversity is easy to measure, it is computed by dividing the member of a group by the size of the total workforce, resulting in a percentage. Inclusion is more difficult to achieve and measure, inclusion involves people from all groups feeling that they contribute to the whole organization were still retaining their own identities. (Muchinsky & Culbertson, 2016)

Since the civil rights act, and the Americans with disabilities act were passed the American for force has increased significantly, and intern increasing in diversity. In June 2012 people of color made up 36% of the workforce, women accounted for 47%, and people with disabilities contributed to 21% of the American workforce. (Burns, Barton, & Kerby, 2012)

EEOC guidelines took diversity once step further with the affirmative action policy, an effort to reduce prior workforce discrimination. The act advocates for members of the seven protected groups to be actively recruited and considered for employment selection. There are four goals interpreted from the policy, and those are to correct present inequities, compensate past inequities, provide role models and promote diversity. (Muchinsky & Culbertson, 2016)

The following analysis will determine the reality, and rhetoric, of a world-renowned organization known for their missions in diversity, Starbucks. Analyzing diversity will show no immediate or tangible benefits, rather overtime can provide a company increased ability to obtain goals for better innovation, reputation, profits, and global impact.

Data sources

Starbucks Coffee Company is currently a leading example for dedication to a diverse, inclusive, and equitable environment. Founded in 1971 in Seattle Washington, today the Company operates more than 28,000 locations in 76 countries worldwide, with over 300,000 employees, and one mission in mind, “to inspire and nurture the human spirit – one person, one cup and one neighborhood at a time.” Starbucks values one fundamental principal behind that mission, and that is everyone is welcome. (About Us, 2018)

The coffee company’s business strategy is based on four pillars, offering a ‘third-place’, selling coffee of the highest quality, international market expansion, and technological integration. (Dudovskiy, 2017). Starbucks has positioned their company in light of being a “third-place” away from home and work, where people are always welcome to spend time, relax with friends or alone. Recently, Starbucks released their third-place policy, stating that they want their stores “to be the third place, a warm and welcoming environment where customers can gather and connect. Any customer is welcome to use Starbucks spaces, including our restrooms, cafes and patios, regardless of whether they make a purchase.” (Use if the Third Place Policy, 2018). The third-place policy welcomes diversity not only in employment opportunities, but in customer demographics as well. The second pillar to the company’s business strategy is another important aspect to the diversity and inclusion at Starbucks, International market expansion.

The company is also committed to ethical leadership and conducting business integrity by providing resources that help employees make ethical decisions at work. Furthermore, Starbucks is striving to manage the environmental impact of their company through recycling, reducing waste, conserving water and energy, and focusing on advancing renewable energy sources.

Information on how the Starbucks Coffee Company hires for diversity was found available on the company website, all pages were updated within the last year. Since 2013, Starbucks has hired over 21,000 veterans and military spouses, and are committed to hiring 25,000 by 2025. Starbucks has opened 52 Starbucks Military Family Stores across the United States, and plan to dedicate 80 more by 2022. In 2015, Starbucks committed to hiring 10,000 Opportunity Youth by 2018, these are 16 to 24-year-olds who are not working or in school, meeting their initial commitment early Starbucks expanded the goal to hire 100,000 Opportunity youth by 2020, as of January 2019 they have hired 65,000 Opportunity youth. Starbucks opened a ‘Signing store’ in Washington D.C led by a diverse team of twenty-five employees who are all fluent in American Sign Language, the Company previously opened there first ‘signing store’ in Malaysia. Female representation of Starbucks employees has reached 68 percent, while minority representation is at 46 percent. In the United States Starbucks has achieved 100 percent pay equality amongst employees conducting similar job tasks.

Understanding the consumers’ needs can maximize the value an organization can deliver to them. Starbucks isn’t just a place to buy a cup of coffee, it is a place to experience a welcoming atmosphere, a culture of warmth and belonging, and a place where everyone is welcome. Of course, it is important for the company to understand the demographics of their consumers to determine affective marketing efforts so what does the average Starbucks consumer look like? 

49% of the revenue that Starbucks receives every year comes from customers in the 25 to 40 age demographics. Young adults in the 18 to 24 age demographic makeup another 40% of the revenues Starbucks receives. Four out of five Starbucks consumers have an active social networking presence on Facebook, Twitter, Pinterest, or LinkedIn. More than half, 52%, if Starbucks consumers are not parents or grandparents one in three Starbucks consumers live in an apartment or rented home. One in for Starbucks customer saying that purchasing organic foods, coffee, and other groceries is important to them. Three out of five Starbucks consumers owns at least an entry-level smart phone about 30% of Starbucks Consumers say that they get up after 8 AM, 22% say that they get up before 6 AM. Three out of four Starbucks customers say that they try to exercise at least several times per month 51% of Starbucks customer say that they are willing to embrace creative solutions for the problems the United States faces instead of practical solutions

Results

According to Starbucks, “Embracing diversity not only enhances our work culture, it also drives our business success. It is the inclusion of these diverse experiences and perspectives that create a culture of empowerment, one that fosters innovation, economic growth and new ideas.” (Diversity and Inclusion, 2018). The numbers don’t lie, in china alone the number of stores has grown from 800 to 3,200 in the past five years. (Starbucks ceo Kevin Johnson Unveils Innovative Growth Strategy at 2018 Annual Meeting, 2018). Between 2010 and 2018 the number of total stores worldwide increased from 16,858 to over 28,000. Starbucks announced the launch of Starbucks Delivers with Uber Eats beginning 2019 and plans to roll out Nitro Cold Brew in all U.S operated stores. (Starbucks ceo Kevin Johnson Unveils Innovative Growth Strategy at 2018 Annual Meeting, 2018). The economic growth continues to increase profits for Starbucks, in 2018 Starbucks reported earnings of 4.52 billion US dollars, that is nearly double what Starbucks reported Last year, 2.88 billion. Profit isn’t the only area of interest, Diversity has been seen to increase the Coffee Companies reputability as well. Starbucks has outstanding reputation for customer service. Starbucks has been recognized with a 100% rating on the corporate Equality index and 100% rating on the Disability equality index by the Human Rights Campaign Foundation in 2015, named one for the “worlds most admired companies” by Fortune in 2009-2017, and one of the “Most admired companies in America” by Fortune in 2003-2015 (Starbucks Company Recognition, 2018)

One of the biggest weaknesses found for diversity is the cost of training, promoting programs, and lectures designed to promote cultural diversity. On May 29, 2018 Starbucks shut down more than 8000 stores simultaneously for a training session in racial bias. The training was meant to help Starbucks navigate challenges of being the third place that its leaders have spoken about. That machine came under scrutiny in April when two men have been refused access to the bathroom at the Philadelphia Starbucks location. The men refused to leave, and the manager called 911, the men were held for hours. Starbucks apologized for the incident which sparked protests and rage from their consumers earlier this month the men who are arrested reached a settlement with Starbucks for an undisclosed sum. The training required employees to use a team guy book to follow the sequence of videos, employee discussion, and a film by Stanley Nelson whom directed the film freedom riders. For employees unable to attend the training, materials were shared. (Starbucks Closes More Than 8,000 Stores Today For Racial Bias Training, 2018)

Logically analyzing the data gathered above, to determine if diversity a weakness or challenge, the strong and identifiable cultural diversity has created a sense of community amongst employees and consumers for Starbucks, created opportunities for growth and innovation, as well as brought additional profit. Despite the drawbacks of increased training cost and time, seen in 2018 when 8,000 stores were shut down during work hours for a racial discrimination training, at the years end Starbucks is continually out shining their competitors with less culturally diverse methods of marketing.

Conclusion

Cultural diversity and business model at Starbucks have made them one of the most successful companies in the world today. With effort, Starbucks has been able to improve market share, brand recognition, and profit at national and international level. To ensure continued success in the future Changes in training practices I recommended. Such changes would remedy the number one weakness found in the cultural diversity research, the increased cost of training, promoting programs, and lectures designed for diversity. It will be through continued effort that Starbucks remain at the top of the coffee industry.

References

  1. About Us. (2018). Retrieved from Starbucks: https://www.starbucks.com/about-us/company-information
  2. Burns, C., Barton, K., & Kerby, S. (2012). The State of Diversity in Todays Workforce. Retrieved from Center for American Progress: https://www.americanprogress.org/issues/economy/reports/2012/07/12/11938/the-state-of-diversity-in-todays-workforce/
  3. Diversity and Inclusion. (2018). Retrieved from Starbucks: https://www.starbucks.com/responsibility/community/diversity-and-inclusion
  4. Dudovskiy, J. (2017). Research Methodology. Retrieved from Starbucks Bussiness Strategy and Competitive Advantage: https://research-methodology.net/starbucks-coffee-business-strategy-2/
  5. Muchinsky, P. M., & Culbertson, S. S. (2016). Psychology Applied to Work. Summerfield, NC: Hypergraphic Press.
  6. Starbucks ceo Kevin Johnson Unveils Innovative Growth Strategy at 2018 Annual Meeting. (2018). Retrieved from Starbucks: https://stories.starbucks.com/press/2018/starbucks-unveils-innovative-growth-strategy-at-2018-annual-meeting/
  7. Starbucks Company Recognition. (2018). Retrieved from Starbucks: https://www.starbucks.com/about-us/company-information/starbucks-company-recognition
  8. Use if the Third Place Policy. (2018). Retrieved from Starbucks: https://stories.starbucks.com/press/2018/use-of-the-third-place-policy/
Did you like this example?

Cite this page

Industrial-Organizational Psychology: Cultural Diversity. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Respiratory Disease – Pneumonia

For this week’s Assignment we were asked to choose a respiratory disease and discuss its overall impact on our bodies and lives. My topic of choice I am deciding to go with is Pneumonia. Pneumonia is characterized as an illness consisting of an inflammation of one or both of the air sacs in the lungs. These infected air sacs may become filled with pus or phlegm, resulting in chronic dry or mucus filled cough, shaking chills, high fevers, and difficulty breathing. Pneumonia can be caused by several different organisms such as viruses, fungi, and bacteria. It can also be brought on by being in a certain environment.

Pneumonia can be a very serious condition and should be treated as such. It can be mild or severe and life threatening. Infants and young children as well as elderly people over the age of 65 are more susceptible. Persons with health problems and weakened immune systems are also at higher risk. Symptoms of pneumonia can range from mild to severe, mild being similar to symptoms of a cold and severe resembling the flu or other serious illnesses. It also depends on what type of germ caused the infection and the person’s age and overall health.

The most common symptoms of pneumonia include chest pain, changes in mental awareness, cough with phlegm, fatigue, fever of course with chills, nausea and vomiting, diarrhea, or even a lower than normal body temperature, most commonly experienced in older persons affected.

People who are hospitalized, especially in an intensive care unit that are using a machine helping them to breathe (a ventilator), have chronic diseases such as COPD or asthma, those who smoke, and those with HIV/AIDS are at a doubled risk of developing pneumonia. Thankfully, there are some vaccines out there that may prevent certain types of pneumonia and it is especially important for children to be vaccinated.

Those recovering from pneumonia may be weak for a while and need quite some time to get back to feeling themselves. The treatment options for pneumonia are antibiotics such as penicillin for example, supportive care consisting of oxygen therapy, oral rehydration and IV fluids, and of course plenty of rest and fluids.

If bacteria was the cause of your pneumonia, it could get into your blood, especially if you didn’t make an appointment to go see a doctor for treatment. It's an issue called bacteremia. (md, 2005) Complications of pneumonia are unfortunately common. Respiratory failure requiring a ventilator, sepsis which may lead to ultimate organ failure, acute respiratory disease syndrome, and lung abcesses requiring surgery are all possible complications. The worst of course, is death.

Did you like this example?

Cite this page

Respiratory Disease - Pneumonia. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Link between Periodontitis and Aspiration Pneumonia

Over the last several decades, dentistry as a branch of comprehensive healthcare has come a very long way with great technological innovations, higher-quality education, and advanced levels of scientific research. As dentistry has evolved, modern research within the field has come to find that poor oral health does in fact have a link to several other systemic conditions and diseases such as diabetes mellitus, cardiovascular disease, pre-term birth, chronic inflammation associated with cancer, and respiratory diseases. In individuals who don’t routinely see a dentist, in conjunction with inadequate oral homecare, the consequences of poor oral hygiene are often overlooked until a serious health problem occurs. In high-risk populations like the elderly or those in long-term care facilities, pathogenic microorganisms that harbor in the oral cavity due to a lack of routine oral hygiene care, both at home and in the dental office, have the potential to cause life-threating conditions. This paper briefly discusses some of the research that has explored the association between periodontal disease and the role it plays in causing serious respiratory infections such as pneumonia.

I would assume that mostly all dental professionals have heard the phrase, “the mouth is a mirror of the body.” The connection between oral-systemic diseases is not a new topic within the field of dentistry and it was established long ago that oral health plays a significant role in achieving general health and well-being (Beemsterboer, 2017). In a 2011 cross-sectional study published in the Journal of Periodontology, researchers found there to be a strong positive correlation between periodontal disease and the development of upper respiratory diseases such as acute bronchitis, COPD, and pneumonia. This study was completed to examine and compare the periodontal health of healthy individuals to that of individuals who had been hospitalized with a respiratory infection. What this study ultimately found was that the people hospitalized with respiratory infections demonstrated significantly worse periodontal health overall. When looking at the data from the gingival index, plaque index, simplified oral hygiene index, probe readings, and clinical attachment levels between the two groups, the study suggests that there is a definite connection between respiratory infections and periodontal disease.

According to Kanzigg and Hunt (2016), pneumonia has the highest morbidity and mortality rate in the United States and accounts for 13-48% of all long-term care associated illnesses. Their article published in The Journal of Dental Hygiene explains that approximately 30-50% of hospital-acquired pneumonia (HAP) cases occur due to the aspiration of oral bacterial pathogens into the lungs. Because periodontal disease is more prevalent in elderly patients due to long-term stress on the dentition, they are more susceptible to developing HAP, especially if endotracheal intubation and mechanical ventilation are present. In elderly patients that have active periodontal disease, the progression of periodontal bacterial colonization in the throat and respiratory tract will likely be enhanced when routine oral hygiene is absent. It has been suggested that an oral hygiene protocol that was established by the Centers for Disease Control (CDC) be implemented in hospitals and long-term care facilities to reduce the risk of patients acquiring aspiration pneumonia. This protocol includes daily brushing, oral cleansing with swabs, and application of lip moisturizer (Kanzigg & Hunt, 2016).

A statement from the American Academy of Periodontology reads, “Research has found that bacteria that grow in the oral cavity can be aspirated into the lungs to cause respiratory diseases such as pneumonia, especially in people with periodontal disease.” Within the geriatric population that is vastly growing, it has been determined that aspiration pneumonia is the most common result of poor oral health in people of this older generation (Terpenning, 2005). The oral cavity has a complex mixture of gram negative anaerobic bacteria and facultative aerobes that can spiral out of control when oral hygiene is lacking. When plaque accumulates in the mouth over an extended period of time without being removed, harmful pathogenic bacteria start to replicate, colonize, and flourish, causing constant inflammation and destruction to the periodontium. As destruction to the teeth, bone, and surrounding tissues becomes more advanced, the severity of periodontal disease increases, therefore increasing the abundance of periodontal pathogens within the oral cavity. This is where the presence of periodontal disease becomes a problem for individuals in long-term care facilities with medical risk factors that include problems swallowing, decreased efficacy of lung defense mechanisms, impaired immune function, feeding position of Overall, it is obvious that the presence of generalized and even localized periodontal infections increase the risk of a person developing a debilitating respiratory infection that could be fatal. Based on the evidence from scientific studies, meticulous oral care in both elderly and long-term care patients with dental disease is required to effectively reduce the incidence of aspiration pneumonia. Research affirms that inadequate oral hygiene resulting in periodontal infections is a major contributor in the development of aspiration pneumonia. To prevent the incidence of respiratory infections in these high-risk populations, is it critical that healthcare providers within these long-term care facilities provide patients with basic oral care involving interdental cleaning, toothbrushing, and rinsing of the mouth with antimicrobial rinses. Because dental hygiene is not currently practiced in these facilities, the prevention and maintenance of active periodontal disease is essential for avoiding respiratory complications. In conjunction with in-house caregivers providing oral health care, plaque and calculus control procedures eventually need to be provided to these patients by dental professionals on a regular basis (Terpenning, 2005).  

Did you like this example?

Cite this page

Link Between Periodontitis And Aspiration Pneumonia. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Research of Ventilation Associated Pneumonia

Evidence-based research and practice is needed to decrease morbidity and mortality associated with ventilation associated pneumonia (VAP). VAP effects 86% of critically ill patients occurring 48hrs after being intubated or on a mechanical ventilation machine. VAP is a nosocomial infection that effects critical care units in hospitals and because of how common this is evidence-based research concluded that oral hygiene is one of the key components in preventing VAP. The American Association of Critical-Care Nurses (AACN) created strict guidelines for oral hygiene as recommendations but not all hospitals follow this guideline. The mortality rate ranges from 0 to 50% with the exception of high risk pathogens reaching 76%. VAP’s are considered a preventable complication that leads to high health care costs.

Diagnose

Patients that endure life threatening illness often find themselves in the intensive critical unit (ICU) and depending on the severities of their illness may require intubated or on a mechanical ventilator. There are multiple protocols that hospitals adhere to in order to provide optimal treatment in taking care of patients who are at risk of developing VAP. Diagnoses of VAP requires nurses to properly document on their charts any newly developed manifestations as VAP occurs within a couple days. Diagnoses is finalized through clinical manifestations, lab work, ultrasound, computed tomography (CT) scan, and chest X-rays. With frequent checkups during these critical hours, providers can get ahead of VAP and treat in its early stages. VAP unfortunately has been misdiagnosed due to wrongful clinical manifestations, so careful precaution should be met. (Koeing & Truwit, 2006)

Evidence-based research

A survey study was conducted with 576 critical care nurses participating in over 8 hospitals that reached over 1000 ventilator days in 2009. The survey concluded 21 questions regarding three oral hygiene hospital guidelines: nursing policy, order set, and information bulletin. Nursing policy’s are comprehensive and detailed protocols for patients on ventilators to prevent or reduce VAP. Order sets are communication tools used between nurses and providers with minimal information and information bulletins are flyers with minimal oral hygiene. These nurses were asked to answer statistical and analyses type questions regarding oral hygiene in patients that had VAP. They answered accordingly to what guidelines the hospital provided on how they should perform oral hygiene on VAP patients.

Kiyoshi-Teo & Blegen (2015) researched the following:

They were asked to The American Association of Critical-Care Nurses (AACN) guideline 14 presents one of the most comprehensive lists of oral hygiene recommendations. Their recommendations are as follows: (1) brush teeth, gums, and tongue at least twice a day using a soft pediatric or adult toothbrush; (2) provide oral moisture to oral mucosa and lips every 2 to 4 hours; and (3) use an oral chlorhexidine gluconate (0.12%) rinse twice a day during the perioperative period for adult patients who undergo cardiac surgery. (p. 310)

The survey demonstrated that nursing policy’s when compared to bulletin information and order set oral hygiene guidelines had fewer VAP incidents. This could be that hospitals who adopted nursing policy’s provided nurses more awareness and proper guidance than those who adopted bulletin information or order set.

Hospitals adopting nursing policy’s over other oral hygiene guidelines show promising preventative measures as well as diminishing mortality and morbidity. More evidence-based research and practice is required to raise awareness to the nursing policy so that all hospitals are aware and required to implement.

Conclusion

VAP is a nosocomial infection that effects critically ill patients occurring in 48hrs. VAP is often misdiagnosed leading to death in more than those with VAP and not treated with antibiotics right away. The AACN has the most detailed guidelines in preventing VAP and this being similar to nursing policy’s can prevent or reduce the number of VAP patients. VAP’s are considered a preventable complication that unfortunately leads to thousands of dollars in health care costs.

Did you like this example?

Cite this page

Research Of Ventilation Associated Pneumonia. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Controlled Clinical Trial: Ventilator Associated Pneumonia

Ventilator Associated Pneumonia (VAP) is pneumonia that develops forty-eight hours or more after intubation. When a patient has to be mechanically ventilated with an endotracheal or tracheostomy tube, they are at a higher risk of developing pneumonia because the tube bypasses their normal upper airway defenses. Their underlying disease process, depressed immune system, immobility, and poor nutritional state also place them at an increased risk. Bacteria can colonize the tube due to dirty respiratory equipment, improper hand hygiene, breaking sterility when performing care, and inability of patient to cough and clear secretions leading to colonization in the lung and pneumonia. When a patient has VAP, they present in much the same way a patient with Community-Acquired-Pneumonia would: fever, increased white blood cell count, crackles on auscultation, purulent sputum, and abnormalities on X-ray. (Lewis et al., 2017)

In the article, “Impact of Care Program on Ventilator-Associated Pneumonia Incidence: A Clinical Trial,” Yaghoubinia, Tabatabaei, Jahantigh, and Mohammadi aimed to determine the impact of a care program on VAP incidence in an intensive care unit. This was a single-blinded controlled clinical trial of seventy patients hospitalized in two hospitals in Zahedan, Iran over the course of three days. Convenience sampling was used in that the patients were selected simply because they were on the unit and intubated at the time the study was done. Thirty-five were randomly assigned to the control group while the other thirty-five were part of the intervention group. The care program (intervention) consisted of four parts along with standard care. First, the head of the bed was elevated at least thirty degrees. Second, The daily gastric residual volume was assessed at both 10 o’clock in the morning and 10 o’clock at night and gastric lavage was performed. If the refluxed fluid was more than two hundred milliliters, the next gavage was delayed according to policy. The third step was an abdominal massage performed at 10:30 a.m. and 10:30 p.m. to promote peristalsis and digestion, which would in turn, decrease aspiration risk. The final step was mouth care, which was performed one hour after gavage and included swabbing the mouth with chlorhexidine rinse. Standard care, performed on both the intervention and control group, included suctioning and mouth care every two hours. The study findings were both clinically and statistically significant.

Did you like this example?

Cite this page

Controlled Clinical Trial: Ventilator Associated Pneumonia. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Bacterial Pneumonia

Causes

According to (Sattar, 2018), bacterial pneumonia can come in four different categories. Including community-acquired (CAP), hospital-acquired (HAP), healthcare-associated (HCAP), and ventilator-associated pneumonia (VAP). CAP, the most common of the four, occurs in a community setting outside of the hospital and is usually transmitted by breathing in bacteria that live in the mouth, nose, and throat. HAP develops within 48 hours of a hospital stay for another illness. VAP occurs in people that are on a ventilator to help them breath. As in HAP, pneumonia typically develops within 48 hours of intubation. HCAP deals with nonhospitalized patients that have previously had experience with the healthcare system. Such as, residence at long-term care facility, outpatient treatment, and hemodialysis treatment. These patients were thought to have been infected with multidrug-resistant (MDR) pathogens, making them a separate category from HAP (Sattar, 2018).

The most common pneumonia causing bacteria is streptococcus pneumoniae, also known as pneumococcus bacteria (Pneumonia n.d.) The bacteria can be spread through coughing, sneezing, and close contact with an infected person. When they are inhaled by the victim and being to multiply in the lungs, specifically the alveoli. This in turn triggers the bodies natural inflammatory response. In an effort to kick out these foreign invaders, the immune system will send out white blood cells to the infected areas. When the white blood cells reach the area, they release a substance that causes vasodilation of local blood vessels causing more fluid to build up and congestion in the alveoli. The inflammatory response causes a mixture of cells, bacteria, and fluids to accumulate in the air sacs, this is what causes the signs and symptoms of pneumonia that we will discuss later.

Although, anyone is capable of contracting bacterial pneumonia there is a more vulnerable group who are at a higher risk. Infants, two years or younger, because their immune systems are still developing and older adults who are 65 years old or older due to normal changes in the immune system because of the natural aging process (Pneumonia n.d.). Immunocompromised people such as people with HIV/AIDS are also at a higher risk because of weakened immune systems. People with pre-existing medical conditions such as, chronic obstructive pulmonary disease (COPD) and cystic fibrosis have an increased chance of developing bacterial pneumonia. Long term smokers and excessive alcohol drinkers will also be at a higher risk, as well as those exposed to environmental factors including; pollutants, chemicals, and toxins (Pneumonia n.d.).

Signs and Symptoms

Some of the well-known signs and symptoms of bacterial pneumonia are as follows: increased fever, excess sweating and clammy skin, chest pain when breathing or coughing, severe fatigue, cough with yellow or brownish sputum (that doesn’t go away or get better), shortness of breath during routine daily activities, and feeling worse after recently having a cold or flu (Pneumonia - adults (community acquired): MedlinePlus Medical Encyclopedia n.d.). You may also hear crackles upon auscultation of the lungs. Duration and severity vary based on the strength of the bacteria and how quickly you are diagnosed and treated. Signs and symptoms may also change in certain special populations such as, infants and older adults. Infants may not show signs of infection and in older adults with a preexisting illness or weakened immune system may present with milder and fewer symptoms (Pneumonia n.d.). In some cases, symptoms may progress causing respiratory failure, sepsis, multiorgan failure, and exacerbation of preexisting conditions (Sattar, 2018).

Did you like this example?

Cite this page

Bacterial Pneumonia. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

All about Pneumonia

More than 250,000 Americans require hospital care each year as a result of having pneumonia.

In addition to approximately 500 million affected globally. Pneumonia is a lung disease that is obtained through numerous amounts of bacteria, viral infections, or fungi found in the bronchi. It’s a disease that can transpire on one or both lungs. It occurs when microbes in the lungs cause your air sacs to swell with fluid or pus making it difficult for oxygen to reach the blood vessel. Since there are so many active pathogens during this process, some of the germs have the ability to be contagious depending on how effective the disease becomes.

Pneumonia can sometimes range from mild to severe conditions. Meaning, infections can go from being easily treatable to life threatening or even fatal circumstances. Identifying the virus in the body is more difficult since symptoms are more equivalent to having the flu or a cold. The most efficient way doctors diagnose a case is through medical history and or other physical exams. Though, people with greater risks of contamination are children 5 years or younger and elders 65 or older. The reason being is, people of that age tend to have a weaker immune system making it easier for bacteria to get trapped in the lungs.

About 30 causes of pneumonia have been recognized but only 3 are commonly detected. Yet, there isn't only one type of pneumonia. There are approximately, if not more, 10 different types diagnosed frequently. And just like many other deadly diseases there are stages, and pneumonia particularly containing 4. The stages include, consolidation, red hepatization, grey hepatization, and resolution. With stage 4(resolution) being the most lethal. It begins with uncontrollable coughing and or pain when breathing and continues to get worse from there.

The most common way people pick up pneumonia is through bacterial infections. One specific type of bacteria is streptococcus pneumoniae. Streptococcus is formed like lancet and comes in pairs of two. They are the major source of bacteria found in pneumonia. Other forms of bacteria may involve the ones found in air conditioning. Growth of mould and mildew in the air conditioning produce nose, throat, and ear infections. As temperatures rise chances of picking up disease causing bacteria becomes higher because of constant use of AC

Places with the highest percentage of people catching pneumonia are Africa and Asia. Considering the fact that people living in least developed countries are surrounded by an abundance of germs and bacteria. Pneumonia is the leading cause of death to children killing about 1 million in Africa in just a year with an additional 433 million contracting it in both Africa and Asia. However, pneumonia isn’t only affecting countries such as Asia or Africa, it generally affects all parts of the world killing about 5% of Ireland people. 

Did you like this example?

Cite this page

All About Pneumonia. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Preventing Pneumonia

 Pneumonia is a lower respiratory tract infection caused by exposure of infective microorganism in respiratory tract. Pneumonia can be developed due to aspiration or inhalation of pathogenic microorganisms. It is a serious global problem especially to children, elderly, and critically ill patients resulting high mortality rate (Cilloniz et al., 2016). Patients who have chronic pulmonary disease are prone to develop pneumonia (Cilloniz et al., 2016). Among post-operative complications, pneumonia is one of the serious concerns, which may lead to death of a patient. Thus, pneumonia is considered the third most complicated type of surgical intervention, thereby increasing cost from $12000-$40,000 and increase hospital stay 7-9 days (Chughtai et al., 2017). Despite the invention of diagnosis technology and antibacterial medication, prevalence of pneumonia is still high and it is becoming difficult to treat due to multidrug resistance pathogens or new pathogens. The identification of microbial organism is important for proper antibiotic selection, which may help to treat effectively in shorter period of time (Cilloniz et al., 2016).

Different factors involve in post-operative pneumonia such as advance age, comorbidities, type of surgical procedure, patient’s compliance of post-operative intervention, level of understanding, motivation, and readiness to learn for selfcare. Because patient’ baseline function alters after surgery, health care team helps patient return back to normal level; however, patient’s understanding, motivation, and compliance is essential for a good outcome. Preventing post-operative pneumonia is very important to have speedy recovery and to prevent post-operative complication. In this research study, it will be focused on finding answers how to prevent pneumonia effectively for post-operative patient.

Pneumonia is a global issue and increasing antibiotic resistance pose a challenge to find better solution to prevent postoperative pneumonia. Post-operative patients are already susceptible to infection where pneumonia cannot be excluded without multi- effort intervention in post-operative care. Thus, in this literature review, I will be looking into answer to the question is that “does combination of pharmacological, non-pharmacological, and patient teaching decrease post-operative pneumonia?”

To reduce post-operative complication, pre-operative patient teaching considers important intervention because it is believed that patient tend to learn effectively in pre-operative teaching season. After surgery, patient may experience side effect of anesthesia such as lethargic, nausea or vomiting, painful surgical site and lack of energy to learn new material. Important patient teaching includes such as early ambulation, coughing, deep breathing, turning or repositioning. These post-operative interventions need to start immediately after surgery for a successful recovery. Lack of necessary post-operative care, patient may easily develop pneumonia, which can turn into serious pulmonary complication. A study conducted to see the benefit of a single pre-operative physiotherapy session to patient who was having upper abdominal surgery. The effort was made as a preoperative counselling where either booklet or 30-minute physiotherapy session was provided to patients in regard to prevent pulmonary complication. Total of 432 adult patients were participated and half number of patients were used as a control group. The intervention group performed early ambulation and breathing exercise immediately after surgery. Patient instructed to perform two sets of ten times slow deep breaths followed by three times coughing, which needed to perform hourly. Preoperative coaching session was given by physiotherapist and individual risk of post-operative pneumonia was also assessed at the same time (Boden et al., 2018).

After surgery, lack of mobility and effect of anesthesia hinder mucus clearance, allowing bacterial retention in the lung field. It is believed that hourly deep breathing exercise can help lung volume expansion and clear the mucus. These methods helped patient not only for speedy recovery but also for preventing pneumonia. The study reported that intervention group had halve the incidence of post-operative pneumonia than control group. No adverse effect was reported performing these activities. After this study, pre-operative education and training about deep breathing exercise and early ambulation is strongly recommended for patients who plan for elective major abdominal surgery (Boden et al., 2018). However, the research study is not stated morality rate or length of hospital stay, so more research is indicated (Boden et al., 2018).

Cassidy et al. (2013) was investigated the best practice guidelines for post-operative care to prevent pulmonary complication. In this regard, a research study was conducted to test implementation of a program ICOUGH (incentive spirometry, coughing and deep breathing, oral care, understanding, get moving, head of the bed elevated) in post-operative patients. The necessity of reducing post-operative pneumonia is emphasized for speedy recovery, shorter hospital stays, and reduce cost. Research was designed for all patients who came for general or vascular surgery. Education about ICOUGH was given to patient, their family, and medical team who involved in patient’s care. After surgery, reinforcement of ICOUGH teaching was given to patient by surgical, physician, and nursing team. Patient was encouraged to use incentive spirometry 10 times every hour and 3-5 effort each time which was documented every 4 hours in nursing intervention. Similarly, coughing and deep breathing was encouraged every 2 hours. Patient needed to walk at least once at the same day of surgery and afterward walked in the hallway at least three times a day. In addition, head of the bed elevated greater than 30 degree, out of bed to chair in each meal and oral care twice daily with brushing teeth and rinsing with mouthwash. Results were compared before and after ICOUGH implementation where they found incidence of pneumonia after ICOUGH decreased from 2.6% to 1.6%. Incidence of unplanned intubation was decrease from 2.0% to 1.2%. The group saw positive changes in reducing post-operative pneumonia almost by 50% and decrease unplanned intubation. Prior to ICOUGH, the hospital was rated for high risk of pulmonary complication as compared to similar other institutions. After a year of ICOUGH implementation, it was found significant improvement in patient activities, incentive spirometry use, and improve surgical outcome, thereby reducing medical cost (Cassidy et al., 2013).

Incidence of post-operative pneumonia is common among surgical patient; however, risk may vary depending on the type of surgical procedure, patient age, comorbidities, and baseline functional status. The group of researchers conducted a study to review the epidemiology and risk factors of postoperative pneumonia. Several research results were reviewed in the study using comprehensive literature dated from 1980 to 2016. Participants were from general surgery, cardiothoracic surgery, orthopedic, spine, head and neck surgery. Incidence rate of post-operative pneumonia after cardiac and lung cancer resection reported differently in each research group. Incidence rate is high in patient with chronic illness such as history of congestive heart failure, pulmonary disease, advance age, obesity, diabetes, and recurrent pneumonia. Patient who underwent cardiothoracic surgery found highest incidence of pneumonia. Patients who received antibiotic without any positive culture were found less incidence of pneumonia. The lowest incidence of pneumonia was found in patients who underwent lumbar fusion or anterior cervical decompression and fusion. In regards to summarize the incidence of post-operative pneumonia in different surgical intervention, it is reported that general surgery 0.5-28%, cardiothoracic surgery 2-54% orthopedic and spine 0.45-14% and head/neck surgery 0.6-27%. For more detail, study indicate future research using national databases. The variation of post-operative pneumonia may indicate care differences in different health care setting, which could be due to different prevention bundle or implementation. It could be depending on patient compliance and post-operative order protocol such as patient teaching, use of incentive spirometry, oral care, early ambulation, head of the bed elevation (Chughtai et al., 2017)

Unlike general surgery, incidence rate reported higher in lung surgery requiring ICU bed and reintubation. It is a challenge to overcome such respiratory problem because it causes poor patient outcome, delay discharge, and increase hospital cost. To manage these problem, a group of researchers see the importance of preoperative screening for risk identification so that health care team can better prepare for postoperative care. Patient history and updated database can help surgical team to make a prediction for possible complication after surgery. The intensity of problem can be varied in different surgery; for example, respiratory outcome better reported in laparoscopic surgical procedure than open surgical method. Post-operative respiratory complication can be minimized with health care team effort where intervention protocol should be guided by facilitator who can leads proper implementation involving members in the team such as surgeon, anesthesiologist and other perioperative team members. In regards to this effort, study emphasis the importance of pre-operative risk screening and care plan design according to patient condition, history, age, and risk factors. Study suggested to avoid high-dose of neuromuscular blocking agent and high dose of opioid and patient should be extubated in way that help prevent airway collapse. (Ruscic, Grabitz, Rudolph, & Eikermann, 2017).

Incidence of postoperative pneumonia in major cancer surgery patients was studied by a group of researchers. Nationwide inpatient sample who had major cancer surgery was used in the study, which was included from the period of 1999 to 2009. Eight major surgical oncological procedure were taken to evaluate the incidence of post-operative pneumonia, thereby both viral and bacterial pneumonia were studied. Each case was evaluated separately where esophagectomy, gastrectomy and pancreatectomy found high mortality rate associated with pneumonia. The study suggested that if risk factor identify earlier, the better result may receive by implementing the guideline and preparing for intervention in advance. Doing so, lung function of postoperative cancer patients has showed improvement over the year. Care provided with effective management guidelines, postoperative oncology patient has been receiving better outcomes (Trinh et al., 2016).

A group of researchers conducted a study to measure the benefit of using incentive spirometry for patients who underwent exploratory laparotomy. After the incentive spirometry use, pulmonary function was measured by force vital capacity. A total of 150 patients were participated where 75 patients used as a control group. All patients received deep breathing and early ambulation; however, intervention group received incentive spirometry training and exercise. Both group of patients were assessed pulmonary function using peak flow meter to measure force vital capacity. Intervention group found higher final FAC measurement than control group; however, mean initial FVC found no significant differences between control and intervention group. In addition, hospital stay had no significant differences between two group as well. This was a single-center randomized clinal trial, which was not recommended to add incentive spirometry to the current practice in that environment (Tyson, Kendig, Samuel, & Charles, 2014).

Several research studies were reviewed to find out the effective method of preventing postoperative pneumonia. Several factors were involved to make a difference in prevention of postoperative pneumonia such as nature of the surgery, patient’s age, comorbidities, effective post-operative care plan, patient’s education, understanding, compliance, chronic pulmonary disease, risk factors etc. Preoperative risk assessment found critically important to prepare patient’s care plan and to utilize the resources in postoperative care. Deep breathing exercise and early ambulation can help patient significantly for speedy recovery and prevent from infection. It is found that cardiothoracic surgery and lung cancer surgery have high incidence of postoperative pneumonia as compared to general surgery. Post-operative patient can experience high level of pain, limiting postoperative care. Therefore, effective pain management is also very important; however, research studies fail to focus on this topic. The conclusion is made after this article review that postoperative pneumonia can be decreased significantly using ICOUGH, risk identification, prophylaxis antibiotic, patient teaching, and interdisciplinary team work. Thus, identification of risk group prior to surgery, pre/post-operative patient teaching, combination of pharmacological and nonpharmacological intervention can be effective method to prevent post-operative complication of pneumonia. 

Did you like this example?

Cite this page

Preventing Pneumonia. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Albert Bandura’s “Social Learning Theory”

Albert Bandura is a Cognitive psychologist who was responsible for the famous Bobo experiment, Cognitive psychology is based on language memory and how we solve problems. Bandura’s Bobo experiment; in 1961 placed children ranging in ages between 2 and 5. He had the children watch an adult abuse this inflatable clown doll named Bobo. He then placed the children in a room with toys and a puzzle that was unsolvable.When some of the children became frustrated over not being able to solve the puzzle, they took it out on the doll. The children who did not initially participate in the doll abuse were later bribed to do so as part of the experiment. One of the main takeaways from this experiment is that, even if some of the children didn’t actively abuse the doll. They learned the behavior. The biggest point was to prove that people learn from one another. Bandura developed his Social Learning Theory from experiments like this one.

Bandura’s Social Learning theory, seems basic enough but pertains to everyday life. He believed in the behaviorist learning theories of classical conditioning and operant conditioning. “Classical Conditioning is when you take an unconditioned stimulus and an unconditioned response and add a conditioned response, such as the lunch or recess bell. Operant Conditioning is based on rewards and punishments” (Grusec,1992). If you do something wrong you get punished, so you won’t do it again. If you get ice cream for getting a good grade on a test you will be more apt to try and repeat that result. I remember when I was a child, my Dad would say, “monkey see, monkey do.” So if a teacher or parent (model) engages in an activity, the child or student will observe and learn from it negatively or positively. His theory consisted of a four step Modeling Process: attention, retention, reproduction and motivation.

The first step is about the model attaining the attention of the child. The trick as an educator is to get the attention of the student so their mind can process what is being taught.

It gets harder in today’s fast paced world. My grades were better when my instructors held my attention and were personable and charismatic. This can be tricky with children with Attention Deficit Disorder and other stimuli that detract attention from the model.

The second step is retention or remembering what was taught. Sometimes, making concept maps instead of conventional notes helps me retain the information better. You can teach someone anything as long as they can relate to the material. Repetition is paramount in learning and retaining material.

Reproduction comes from practicing what you learned. When I was a little league coach at the first practice and parents meeting, I would ask the player who is your favorite player. Then, I would ask them by the next practice if they would imitate the player’s batting stance. Then we would practice it and this helped me teaching concepts like keeping your elbow up or transferring your weight to the front foot or getting your hips through the ball. I never knew what I was doing as far as a theory. I just thought it was a good tool to get the child interested in baseball. Because, I learned to hit by imitating Willie Stargell and Joe Morgan as a kid. I would imitate Ivan Dejesus and Ozzie Smith playing shortstop. This helped me a lot as a coach. But, using the best players as models was definitely helpful.

Keeping a student motivated is where reward or punishment comes into play. If you want to increase motivation for a behavior you praise him. If you want to diminish or lessen motivation for a response you punish the child. I used to have to make ravioli from scratch and help my grand mother when I was getting punished. I couldn’t stand it, definitely made me think twice about messing up. But, I am a pretty good cook now.

Bandura believed in self efficacy, in learning. This is believing in your ability to learn or finish a task. Self esteem is the general feeling of self worth.

Self-efficacy is the belief in accomplishing a task. An example is I believe I can write a paper on Albert Bandura. If you can believe it, you can achieve it. There are 4 sources to increase Self-efficacy. The most common way to increase self confidence is to practice. If you shoot free throws you will get better at shooting them. The better you get, the more confidence you have in doing that task.

Vicarious Modeling is when you see someone do something and believe you can do it also. If you see Michael Jordan play basketball you believe you can become the next Michael Jordan. You can believe you can hit like Willie Stargell it is all vicarious modeling. It is like a younger sibling learning from watching the older sibling. If the older sibling is a good child then the younger one has a good role model to learn from.

Verbal Persuasion is basically a pep talk where you get motivated. When my daughter was one I was holding her outside a store in Hollywood. A transient man looked me in the eye, as I held my crying infant and said, never give up. He repeated this statement over and over to me. So, even when I am having the worst day, I remember what he said to me. In the Navy, I had a mentor who always encouraged me and made me believe, I was a leader. Even when I was a younger sailor my senior enlisted always gave me pep talks when I felt I was over matched.

If a task makes gives anxiety or you don’t get a good feeling about trying it, you probably won’t succeed in achieving it. Some things people just can’t wrap their minds around. Being terrified to jump or dive off of the high dive can cause some serious negative feelings the first time you attempt it. The trick to achieving these tasks that you, don’t feel comfortable doing is to get yourself to relax, lower your heart rate and anxiety as much as possible before attempting the task. Deep breathing and visualization helps before doing a difficult task. Meditation and other ways of bringing your heart rate down.

The trick to learning is paying attention long enough to learn something and retaining it. Then you practice it until it is a habit or it sticks in your head. Rewards and punishments are designed to support a behavior or reprimand and stop a behavior. Positive reinforcement or negative depending on the situation.

Albert Bandura theories seem so simple looking at them now. This is what is called leading from the front. If you are behind someone, they can’t follow you. Leading by example is the key to modeling. The Bobo experiment kind of reminds me of Simon Says or Copy Cat. The act of mimicry as a learning tool is integral as children are developing. According to Bandura “The agentic perspective distinguishes among three types of environments—imposed, selected, and constructed. The imposed environment acts on individuals whether they like it or not” (Bandura, 2012, p.11). This is all based on a triangle of personal attributes which include self-efficacy, cognition and personality, the

Albert Bandura proved what I have kind of figured out along the way. Being a good role model affects children. They do watch you and learn from you. Being a positive role model does help them socially and mentally. Being a negative role model is detrimental.In educating children you want to teach the right message so you lead from the front. The Bobo experiment teaches that, even if the child isn’t engaging in the activity, they still learned the activity.      

Did you like this example?

Cite this page

Albert Bandura's "Social Learning Theory". (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Albert Bandura “The Social Learning Theory”

Biography Albert Bandura

Albert Bandura was born in a tiny town called Mundare located in Canada on December 4, 1925. Bandura was the only boy and the youngest of six children. After elementary and high school Bandura attended college at the University of British Colombia in Vancouver. Bandura stated “My parents encouraged me to expand my experiences… they essentially presented me with two options: I could either remain in Mundare, till the farmland, play pool and drink myself oblivion the beer parlor, or I might try to get a higher education. The latter option seemed more appealing to me” (Pajares, 2004). Bandura had no education until college; however, his family did put education first. His father made sure that Bandura learned three different languages; German, Russian, and Polish. As well as teaching his son various languages, Bandura’s father also served on the school board. In 1949 Bandura graduated with his Bachelor’s Degree and his Master’s Degree in 1951. Finally, in 1952 obtained his Ph.D. from the University of Iowa. After the completing o his doctoral degree, Bandura accepted an internship opportunity at the Wichita Guidance Center (Pajares, 2004). From here he went on and took a teaching position as a psychology professor at the University of Stanford. Throughout Bandura’s career, he has achieved a sufficient number of achievement awards and honors. In 1972, he won the Guggenheim Fellowship Award, in 1974 he was elected President of the America Psychological Association. In 1977 he came up with the Cognitive Theory and became known as the Father of the Cognitive Theory. Most significantly, he was awarded the National Medal of Science by US President Barack Obama. “He is the only social scientist to be given the award this year along with eight others from the fields of biology, ecology, and nanomaterials.” (E., R. 2016).

The Social Learning Theory

Bandura considered aggressive behavior, like other forms of social behavior, to be under the stimulus, reinforcement, and cognitive control. He concluded that individuals learn what behaviors and responses are appropriate and rewarding. Once individuals learn that aggressive behaviors are necessary, and it can be rewarding, they are more likely to choose aggressive actions in response to conflict situations (Drewes, 2008, p. 55). The social learning theory’s main point is overt behavior. This theory includes imitation or modeling behavior. This is a system in which individuals will mimic such actions they have observed, called observational learning.

Observational learning

Observational learning is a crucial component to the social learning theory. It has four major elements: attention, retention, reproduction, and motivation. Bandura’s Bobo doll experiment is a great example to show how learning is developed through observation. The Bob doll is a three to four feet doll. Attention is the element of observational learning. It is the first condition that needs to take place before an individual can effectively imitate a model behavior. Through using the Bobo doll experiment, children used their attention to watch the Bobo doll being physically and verbally abused by different means of visual illustration. It is necessary that they can retain what they have visually seen and heard. The individual should pay attention to the models, once attention has been successfully achieved retention is next to be learned. Retention is the process in which the observer must be able to remember the behaviors that the models show. Bandura used repetition as a way to develop retention. Memory is a necessary means of cognition that helps to retrieve information. Children need to be able to retain them retrieve this information, so they can demonstrate what they had seen. In the Bobo doll experiment, the children imitated the physical and verbal abuse they had witnessed prior by the visual illustrations. Bandura stresses that the children repeated the aggressive behavior because it had been stored and encoded in their memory (Schultz & Schultz, 2009, p. 407). The third condition needed is called reproduction. At first, reproduced behaviors will not be precise and be considered clumsy. Translating imaginal and symbolic representations into overt behavior requires the production processes, described more simply as practice (Shultz & Schultz, 2009, p. 407). After the observer has mastered attention and retention, it is necessary for the observer to acquire the proficiency of reproducing the behavior previously modeled. Regarding the Bobo doll, the children did show the capabilities to be physically and verbally abusive to the doll. The last condition of observational learning is motivation, although it is not necessary. According to Bandura’s research, it showed that children watching a model on television imitate a model’s behavior regardless of whether they have been promised a reward (Shultz & Shultz, 2009, p. 408). The observer must want to imitate what had just been learned during this time the observer is expecting to receive positive reinforcement for the emulated behavior.

The difference in gender and culture

Using Bandura’s basic idea of learning through observation, gender and culture do not affect the outcome of the social learning theory about children. They may do this despite of whether the behavior is ‘gender appropriate’ or not, but several processes make it more likely that a child will reproduce the behavior that its society deems appropriate for its sex (Sammons, n.d., para. 1). It seems that individuals are more likely to imitate behaviors that the same gender models as themselves, regardless of age and gender. Cross-cultural findings that show variation in gender role between different cultures (e.g., Mead’s study of three tribes in Papua New Guinea) consist with the idea that gender role behavior is learned (Sammons, n.d., p. 7). It is found that there are universal gender role behaviors that occur regardless of the imitating behaviors, such as makes tend to be more aggressive than women. This is a common behavior no matter the subject. To conclude the effects of gender and culture is to say that the universal components advise various characteristics of gender roles are due not to the social learning theory but one’s genetic dominance, brain, and learning differences.

How personality develops through the Social Learning Theory?

The social learning theory is a significant for the development of the personality. One must take into consideration that all people are born into different cultures and raised with different morals and values. All of these aspects combined created one’s personality. It should also be remembered that personalities and characters can change over time due to continuous learning experiences. The social learning theory helps and affects the development of personal characteristics. If an individual has beneficial influences on the personality with watching, learning and imitating a model with negative impacts.

Changes in personality over the lifespan

Many changes over the lifespan can occur and alter one’s personality. Something or someone is always influencing people. There can be many unpredictable occurrences, such as career changes, marriages, and illness that alter an adult’s future. Bandura had a classic study that he conducted of snake phobia, Bandura and his associates eliminated an intense fear of snakes in adult subjects (Shultz & Shultz, 2009, p. 414). Using films and having the subjects examine the models on screen, they gradually overcame their fear of snakes. These modeling techniques can be used for many age ranged individuals, even though Bandura focused mainly on children. For the most part, Bandura does not discuss his social learning theory regarding adults, though he does not completely refer to children.

My personal thoughts

Looking at the social learning theory from my perspective of a mom, I agree with Bandura’s ideas. I have witnessed myself that children tend to do what they see. It reminds me of the old saying, “Monkey see, monkey do.” I remember when I was younger, hearing my mother’s voice talking to my father in instances where she did not want him to act a certain way when my sisters and I were present. I do this with my husband and our child. Children typically learn by watching other people such as their parents, uncles, aunts, friends, siblings, teachers, etc. If they see someone performing a behavior and receive attention for it, it is highly likely they will, in fact, imitate it. I agree and approve Bandura’s four significant elements: attention, retention, reproduction, and motivation. These steps in cognition make sense to need for mimicking. I think that Bandura’s theory explains just a small part of personality. I do believe that there are many other components, but Bandura has developed an approach that evolves with our entire life. I believe that humans never stop with the stages of attention, retention, reproduction, and motivation. As adults, we use this every in our everyday lives; we typically will always pay attention, remember it, reproduce it they receive reinforcement for it whether it is internally or externally. The only fault I see in that Bandura does not take into consideration genetic or biological factors. I use my nephew who has Asperger’s Syndrome as an example. He does have the cognitive ability to model behavior. However, he is not able to understand what he may be watching but can still physically imitate; this is due to his disability and impairment. Many other children suffer from learning disabilities which may prevent their ability to perform and produce all four elements needed to comply with Bandura’s theory. Overall, I agree with Bandura’s social learning theory.

Did you like this example?

Cite this page

Albert Bandura "The Social Learning Theory". (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Social Learning Theory: through Others, we Become Ourselves

Introduction            

Understanding why humans behave in certain ways is a question that many researchers and philosophers have been trying to answer for centuries. How do we come to certain behaviors? Are they passed down biologically, learned through observation, or self-taught? At some point the idea or the motivation to behave a certain way is produced.  The main premise of it all can be related to how we are introduced and are able to process certain behaviors as children. Studies have shown that having both positive and negative role models or peers can determine our behaviors. From the works of Albert Bandura’s, Ronald Akers, and Robert Burgess their studies of behaviors have created a wide range of theories.

My internship assignment took place at the Madison County Juvenile Detention Center in Edwardsville, IL. During my time there I examined how the day-to-day procedures and programs are executed by the staff, how the children react to them, and the relationships between everyone within the facility. The Madison County Juvenile Detention Center is a temporary holding facility for juveniles awaiting court decisions on their cases. The ages of the juveniles range between 10 to 18 years old. The detention center has a total number of 49 beds, but the maximum capacity number is indefinite. This detention center receives juveniles from Madison county and other counties across the state of Illinois. To maintain order within the facility, there are eight supervisors and about twenty staff members that aid in many different activities throughout the day. The staff members include two Educators from the Edwardsville school District, a kitchen cook, and the rest are college graduates with degrees in: sociology, psychology, criminal justice, social work, etc. The staff members play a major role in the day to day lives of the children. This goes as far as fixing their meals, making sure they receive a quality education, and supplying them with their health needs (Showers, medicine, counseling, etc.). Following a series of rewards and punishment systems, the staff effectively enforce the rules for the juveniles to follow regarding both deviant and non-deviant behavior. 

For my internship assignment I decided to apply my observations of the interactions between the juveniles and the staff to Albert Bandura’s Social Learning Theory. I chose to this topic because seeing how there are different children within the facility from all over the state of Illinois, I wanted to see how they behave around one another. And how they learn certain behaviors from both the staff and their peers. With everyone having different criminal histories, family background, and education it creates a great opportunity to observe how juveniles, who are so different, connect with one another in terms of behavior.While observing their behaviors and comparing them to Bandura’s theory, I observed these four main points: Attention, Retention, Reproduction, and Motivation. Attention, how the children payed attention to certain behaviors they were exposed to. Retention, how they retained the behaviors enough to imitate them. Reproduction, the imitation of certain behaviors that are observed. Motivation, how the presence of positive or negative reinforcement and punishments motivated them to imitate certain behaviors. These four main points helped me understand the imitation process the juveniles went through when learning either deviant or non-deviant behaviors from their peers, role models, and the environments around them. 

Literature Review            

Social learning theory can be viewed as the essential component to understanding that as humans why we behave the way we do. This theory is based on the idea that we learn from our interactions with others in a socially whether it be verbal or non-verbal, behavior is still learned. By observing the behaviors of others, we develop those exact behaviors and imitate them. Behaviors are imitated especially if what is observed are positive behaviors orinclude rewards related to the observed behavior. According to Bandura, imitation involves the actual reproduction of observed activities. (Bandura 1977). Social Learning Theory has become the most influential theory of learning and development.Considering that this theory covers attention, memory, and motivation, in a sense it forms a connection between cognitive learning theories and behaviorist learning theories. Bandura’s argued that people can learn new information and behaviors by watching other people.             

Amongst the many theories that have been published, the social learning theory is one that touches base across multiple subjects. The social learning theory can be traced back to the early works of Robert Burgess and Ronald Akers in 1966. In the world of criminology and understanding the behaviors of a criminal, Burgess and Akers contributed their work titled, “A differential association-reinforcement theory of criminal behavior”. They came up with the theory that people learn deviant behaviors the same way they view non deviant behaviors through a process of differential reinforcement (Brauer, 2012). In their work, Burgess and Akers were able to portray the importance of the social learning theory and how it applies to deviance within our society. The concept of differential reinforcement used in Burgess and Akers work can be traced back to the nine principles of differential association introduced by Edwin Sutherland. These nine principles introduced four main concepts that explains the reason for crime - normative conflict, differential association, differential reinforcement, and differential group organization. Of the four main concepts, differential reinforcement became the main component of the social learning theory because it underlines how behavior is strengthened. Whether they are deviant or non-deviant, the positive reinforcement (rewards) and negative reinforcements (punishments) that are attached to certain behaviors help shape those behavioral patterns (Akers, 1979). Sometimes learning deviant or non-deviant behaviors may not be based on reinforcement factors but solely on social interactions with peers. also believed that people learned behaviors while in a group of individuals. In his work he stated that “The more individuals that define the behavior as good (positive definition) or at least justified (neutralizing definition) rather than undesirable (negative definition), the more likely they are to engage in it.” (Akers, 1979).

Basically concluding that the more people that view a certain activity, behavior, or Looking at how interactions within groups help shape deviant or non-deviant behavior, another aspect of the social learning theory that Burgess and Akers introduced was the concept of imitation. Imitation refers to a ‘‘separate learning mechanism characterized by modeling one’s own actions on the observed behavior of others and on the consequences of that behavior’’ (Brauer, 2012). Essentially meaning that people create an understanding of the social norms, values, and rules of a society through imitation. Basing their studies on Bandura’s Social Learning Theory, McCormick and Martinko (2004) claimed that people can learn by observing others, learning is an internal process that may or may not result in a behavior change, and learning can be just observation without imitation. 

Analysis

By effectively aiding these children in performing daily tasks or even giving them some words of encouragement, the staff are fulfilling their duties as temporary caregivers to these children. Nowhere in any procedure or policy book does it underline the fact that the staff have to help turn this traumatic experience into a learning experience worth a lifetime. It takes a very special type of person to want to help these children and the type of person who comes to work every day strictly to help them become better people once they leave the facility. The children in this facility have committed a range of offenses. In fact, during my time at the juvenile detention facility, there were multiple groups of co-defendants. One group included six co-defendants and another contained four co-defendants. These two sets of co-defendants are placed on a rotating schedule that allows one child out, in each group at a time. This is done to keep them from congregating and discussing their cases. The staff do a great job with the rotation schedule by ensuring that each and every one of the co-defendants spend time outside of their rooms.

Did you like this example?

Cite this page

Social Learning Theory: Through Others, We Become Ourselves. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

For and against Taxation

Taxes are hiding in our everyday life. If we go shopping, we are paying not only the price of the products and services but this price will include the value-added tax (In Hungary the VAT is 27% which is the highest in the world). If we get our salary or wage in the beginning of the month we should know that our employer has to pay social contribution (27%) and vocational training contribution (1,5%) from our income and we (the employees) have to pay pension fund (10%), health insurance contribution (7%), labor market contribution (1,5%) and personal income tax advance (16%).

So what are taxes? Why do we have to pay them? What do they do for us? Why are a lot of people who do not agree with taxes fight against government taxation? At most basic level, taxes raise money for government services. Taxes are used to promote the well-being of society. For example: education, healthcare, public safety, national defence. So taxes can be used as a way to redistribute wealth in a society from people who have more to people who have less.

However, there are excise taxes which try to get people to reduce the cigarette or alchohol, fat, fuel consumption. Besides that there are environmental taxes in Hungary on battery, packaging products, other petroleum products , electrical, electronic equipment, tire which particulary harm the environment. We can group taxes in multiple ways. On one hand the direct taxes which people pay on wages and saleries or on company profits and the indirect tax paid on property, sales transactions and imports.

On the other hand economists also make a difference between the regressive and progressive tax. Regressive tax is a tax that takes a larger percentage from low-income people and from high income people. Regressive taxes for example : gas tax, cigarette tax. A tax levied at a higher rate on higher incomes is a progressive tax, for example: wealth tax and property tax.

There are always arguments around taxes. Some people do not agree with the progressive taxation because they feel it is a discrimination against higher earners. They feel it is unjust. They think that it would be the best if they had freedom to choose how to use their income. (In Hungary, since 2011, there is no progressive but flat rate personal income tax.)

Others often feel that the governent can not deal with money properly because the education, healthcare, public transport and roads are in really poor condition. All in all I think we pay a lot of taxes in Hungary. The saleries and the wages are low but the taxes are high. The main problem is that very few people pay a lot of taxes (unlike in the USA, where it is more evenly distributed among people). In my oppinion the government should solve this problem in the future.

Did you like this example?

Cite this page

For and against taxation. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Taxation and Government Spendig in Hungary

Some people looks a sarcastic way at the taxations. At my point of view the tax paying should not let be a bad thing as the citizen's judgement. If we ask the question what would be if taxation wouldnt exist, the anwser could be really upsetting. Let's see some of the worth what we would lose if taxation wouldn't exist at all. Just to mention the basic ones, Governments have no incomes, which means no more developing. No more free education- or education at all. No more health care, everyone should learn how to cure theirselves or make surgery on their own. No more social security or public transport. No more defence which also means no more individual nations, countries or communitees. If we sum up just some of these it equals Anarchy. No more rules, no more laws, no more rights. Totaly liberalism. Everyone has all the rights what means they don't even have any rights. Because inconsonant "rules" are controlling each others. The absolute civilizations would be vanished. Ofcourse there would be formes new but termporary primitive civilizations.

In Hungary from 2010 the progressive tax rate has been cancelled. Instead of it the government introduced the flat tax, which means now the income tax is 15% for every employees. From 2017 the government reduced the Corporate income tax rate to 9%. The Valeu-added tax rate are decreasing as well even if it has three tax rates. The standard VAT tax rate is 27%, but there are also 18% and 5%. The reduced rate (5%) includes fresh foods (fish, pork, chicken and egg) and medicines. From 2019 the the long-life milk VAT's going to be reduced as well.

The Hungarian Government give a real help for the families with the Family Tax Allowance (CSOK) caused of the demographic decline not just in our country but the whole Europe. This tax law was legistlated in 2014. The law gives opportuneties for not just that families whom already have three children, but those fresh married couple whom make a promise to commits at least 3 children. That families whom undertaking the Government's conditions can get non-refundable supportation (10 million Ft) and fix interests loans as well helping the families to start a new life with a new home.

Thanks to the law, those families's income tax whom at least have three children costs almost nothing E.g. let's say the mother earns the minimum wages (Gross salary 138 000 HUF) than the mom will get 135.930 HUF if she has at least three children. A few days before the Government sent another National Consultation about the Family Commitments in Hungary which including such a topics like those mothers whom have at least four children dont have to pay any income taxes, or supporting fresh married couples to start their own lifes in a new home.

There are more way to the Government helps the Hungarian (and the whole Carpath Basin's hungarian families) for example the government gives every month 12 200 HUF after one child, and continue with the 3 children's family model 16 000 HUF after every child. (48 000 HUF/month)

In 2014 the Third Government of Orb??n wanted to extend the new taxation of Internet which meant the user of the internet should pay 150 Forint after every used gigabyte with the intent of using that income to develop the internet backwarded regions of Hungary. Even if int he USA has there own internet taxation, caused of the demostrations the government cancelled the planed taxation. From 2019 those NGOs and people whom helping the immigrations have to pay 25% of the amount of money with that "donation" they supported the illeagel immigrations.

Did you like this example?

Cite this page

Taxation and Government Spendig in Hungary. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Taxation in America

Taxation is very important, therefore everyone is effected by it. Even America itself was founded because of unfair taxes (McDougal 206). When America was still a colony of Great Britain, the British heavily taxed them on imports (McDougal 206). The final straw that caused the revolution to occur was the Stamp Act (McDougal 207). In 1765 the British Empire passed the Stamp Act which made it so that colonists had to pay a tax to have the official stamp (McDougal). This meant that without the stamp, colonists could not have official wills, deeds, or other printed materials. Heavily taxing such a major thing was a leading cause of the revolution; today is no different in the sense that taxes still play a major part in the lives of every citizen in the United States. Everyone who has received income in the United States pays an income tax, and people who receive more income have to pay a higher percentage of taxation (Barton).

While some might argue that it is fair and just that those who make more should pay more. However, it might also be argued that those who work harder to obtain success are punished by progressive taxation. History has proven that taxes are important enough to go to war over and that unfair taxation undoubtedly leads to war (McDougal 206). Taxes should not be based upon total income. The taxation system should be merit based; if the American people wish to have a project completed, then they can put money into it as they feel it worthy of attention. That is the only way to have a completely fair taxation system. One of the most essential parts of the Declaration of Independence was the fact that all men are equal and have the right to be free from tyranny (McDougal 207). When the government sets regulations on taxes, it is unjust because it is not in accord with the ideals that were essential in the foundation of America. Every year the government collects 2.44 trillion dollars in income tax, 1.49 trillion dollars in social insurance, 1.58 trillion dollars in ad-valorem, and .56 trillion dollars from businesses, totaling 6.54 trillion dollars of revenue for the government (Chantrill).

This money is supposed to go to paying politicians, keeping public schools open, paying veterans, and keeping the country running. However, public schools get 52.2 billion dollars and defense as a whole gets 951.5 billion (Chantrill). This means that public schools procure less than eight tenths of a percent of what is received annually by the government. On the other hand, federal politicians as a whole receive 10.55 billion dollars annually (Chantrill). The president alone makes 400,000 dollars a year, while members of Congress make 174,000 dollars annually, the Vice President makes 230,700 dollars annually, the Speaker of the House makes 223,500 dollars annually, and the House Leaders make 193,400 dollars every year (Philips). The 10.55 billion does not account for the lower level employees of the government; many of the governments lower level employees, such as DMV workers, only make 35 thousand dollars annually. If politicians were to receive more reasonable salaries, one of two options could be pursued. The first option would be that taxes could be lowered, and the American people could could keep a higher percentage of what the make.

The other option is that those taxes to be put back into America to help the needy in our nation. That extra money could go to help paying our national debt, helping lower the unemployment rate, fund research for deadly diseases, help support those with physical and mental disabilities, or to expand our national defense. The average American from age 25-65 brings home 48,009 dollars every year, but ends up losing 10-39% taken based on income level (Martin). This does not account for what the money is spent on, so the farmer who has to pay very high rent in order to keep the fields he uses to plow and keep cattle has to pay the same amount as everyone else who does not pay these high rental prices. The result is smaller population in the agricultural field in the United States. So one thing that needs to be changed with taxes is also looking at not just the income, but at what that money is being spent on. That is the only way to have a truly fair system, because people spending money on luxury items, while they have earned the right to get those items, are quite different from the farmers who not only use that money for pleasure, but to keep their business running.

The government also takes taxes to fund projects that not all of the American people would agree should be funded with their tax dollars. For instance, in 1930 Congress signed to purchase 1.5 million dollars worth of books, which would be about 21,550,000 dollars in today's money (Ahlers, et all). This is a prime example of unnecessary government spending, as a purchase of that magnitude should be approved by the American citizens before being purchased. Another example of unfair government consumption of money is collecting taxes to pay for Planned Parenthood (Chantrill). As religious freedom is the reason pilgrims came to America, and is one of the founding principles of the constitution, it is not right to ask American citizens to pay for something that directly violates their religious beliefs. The Democratic Party, on the other hand, argues that higher taxes would benefit Americans more than lower taxes (Barton). Their belief is that, with more money for spending at their disposal, government spending would provide more jobs for the community (Barton). Keynesian economics is the belief that when the government funds programs, that program could provide jobs, and then those jobs would give money to more people, which would help put money back into the economy (Barton).

Another benefit to this ideology is that its followers believe that it helps keep prices relatively steady, so that "any kind of spending, whether by consumers or the government, will grow the economy" (Barton). The two major problems with this idea are that this is very close to socialist values, which have not worked in other countries, and that taxes do not have to be raised to allow more government spending. An example of a country that has tried a very powerful government would be the Soviet Union (McDougal 554). The Soviet Union tried putting all earnings except what was needed for survival into the government, and the results were less than ideal for its citizens; in satellite countries, countries controlled by the mother state, the local government was not even allowed to direct or develop their own economies (McDougal 554). As people starved, the Soviet Union used all of the money that was made to try to be the First Nation to send people and satellites into space (McDougal). In 1954, the Soviet Union formed the Warsaw Pact, which formed all of the satellite countries profits together to develop the ICBM rocket (McDougal). The other problem is that taxes do not have to be raised for the government to put more money into providing jobs to the American people.

If the president's salary, for example, were to be lowered to 100,000 dollars a year, over 50 thousand above average (Martin), that would allow for 6 jobs where people were paid 2,000 dollars more than the average person (Philips). This means that if politician's salaries were to be lowered to even just slightly above what the average American makes, the extra money could be used to provide more jobs, which would help lower the unemployment rate. To summarize, the current tax system is not in accordance with the ideals that founded America. The taxes are not just being used to pay for essential aspects of life such as public schools or national defense; rather, they are used to pay very high salaries to upper level politicians. While the left argues for higher taxes, very close to becoming a communist country where all earnings other than what is vital for survival go directly to the government. This is so important because it shows what America as a nation has been allowing. After going to war to gain independence from high taxes, we have started slipping back into allowing the government to use our taxes for things that might even go as far as to violate American's religious beliefs.

Works Cited

  1. Ahlers, John. "The Capitol". U.S. GOVERNMENT PRINTING OFFICE, WASHINGTON, D.C.20402.
  2. Barton, Stephanie. "Parties For Taxes: Republicans Vs. Democrats". Investopedia, 26 October,2018, www.investopedia.com/articles/economics/09/us-parties-republican-democrat-taxes.asp
  3. Chantrill, Christopher. usgovernmentrevenue. www.usgovernmentrevenue.com/revenue
  4. Chantrill, Christopher. usgovernmentspending, www.usgovernmentspending.com/us_spending.
  5. Martin, Emmie. "Here's how much the average American earns at every age". CNBC, 24
  6. August, 2017, https://www.cnbc.com/2017/08/24/how-much-americans-earn-at-every-age.html
  7. McDougal, Holt. "Modern World History: Patterns of Interactions" Houghton Mifflin Harcourt.2012
  8. Philips, Kelley. "Trump Says No To Presidential Salary: Could You Decline Your Pay & Cut
  9. Your Tax Bill?". Ecobase, 14 November, 2016, www.forbes.com/sites/kellyphillipserb/2016/11/14/trump-says-no-to-presidential-salary-could-you-do-the-same-cut-your-tax-bill/#4b914e634c56
Did you like this example?

Cite this page

Taxation in America. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Taxation in Hungary

Some foreign intelligence says, that the hungarian people have to pay the most money, for taxes - compared to Germany, Slovakia, Romania, Czech republic - it is true. Numerically, in Hungary, there are 58 different taxes. For instance, Hungary has te highest VAT (value-added tax) in the European Union, which is 27% since 2012. We also have income tax, inheritance tax, corporate tax, divident tax, etc. According to statistics, Hungary took 3.542.006 million Hungarian Forints by the VAT in 2017 .

Income Tax

Income tax has an affect on every hungarian people. It is uniformly 15%. It means, if you earn 150.000 HUF or 2.000.000 HUF, you have to pay the same 15% from your salary. There are some preference, such as Family tax allowance. If you have 1 child, your salary will be 10.000 HUF plus. If you have 2 children, your salary will be 17.500 plus. If you have 3 or more children, you will get 33.000 HUF plus on your salary. Even if you are "just married'' with your partner, you can apply for an additional 5.000 HUF salary addition.

I think the 15% income tax is too much, for the poorer layer. For example, the shop assistant, who earns approximately 160.000HUF, has to pay 24.000HUF. It is a lot of money for them. A manager, whos wage is 600.000HUF, has to pay 90.000HUF. The difference between them is shocking. You can live with 510.000HUF, but you can't live with 146.000HUF, if they cut down on your already low money.

I think they should rethink the whole taxation system in Hungary and start to think about progressive, which means, you have to pay more, if you earn more, or if you sold your house. I would impose the richer layer with higher % of income tax. Unfortunately, the hungarians would use loopholes, to avoid from paying the higher amount of money. In Hungary it is an estabilished custom, to use them. Almost 80 % of the companies are not reporting well of its employees and about their salaries. It means, they get a part of their wage on their bank account, and the rest of it, they get in an envelope.

Goverment Spending

This question raise dust since the FIDESZ party is the leader in Hungary, because we have to face with new types of taxes, which means, we have to pay more from our salaries. The ugly truth is, that they are not spending enough money on the hungarian medical system, or on the education system, roads , etc., but Viktor Orb??n, and his family just getting richer day by day. As the matter of fact, in 2017 the economy strenghtened by 2 %, which is pretty good. From this surplus, they should "develop" our lives.

Did you like this example?

Cite this page

Taxation in Hungary. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Wage Gap in Nursing

Have you ever had to be admitted into a hospital? Did anyone there check your vitals, give you a shot, or ask you about your medical history? Chances are that every single one of those people were nurses. That is because nurses are so important to making hospitals run. They heavily assist the doctors and PA's and are the backbone to keeping hospitals up and running. That is also why so many nurses are working at one time compared to doctors in hospitals and private practices. This dynamic between nurses, doctors and the rest of the medical team ensure that patients are well taken care of. With all that being said, nursing isn't for everyone. It requires a lot of patience, focus and a great attention to detail. "They "? assist persons to achieve their optimum level of health, illness, injury, or in the process of dying" (Canadian Nurses Association, p. 8)"

A big problem in the nursing profession is how much lower female nurses are paid compared to male nurses for doing the same job. In medicine, the wage gap still exists in most cases even though more women are nurses than men. The amount of nurses will continue to decline as long as this issue continues.

Nursing is a high in demand profession mainly because it holds an array of benefits that most can probably agree are hard to find in other precarious fields. Nursing is known to provide financial security and long-term employment with extra opportunities. Nurses also have the luxury of having flexible schedules and being able to pick and choose through many different shifts. Even though nursing is a high sought out profession, it is known to be made up of more women than male.

The medical field is an ideal field to pursue. Choosing a profession straight out of college that is going to maximize your earnings as a woman is great step. Within the medical career there are various percentages found for the wage gap depending on your specific field. Most men in medical fields make about 14 percent more than their female counterparts. You could say that wage gap in medical fields is not that much, but when added up that comes out to be about a dollar to every 86 cents that a female makes. On average, a man in the medical field will make around $48.23 per hour whereas the female counterpart only makes somewhere around $42.02 per hour. (Breede et al. 2011) The difference seen between the pay wage of female and male nurses is fairly significant seeing as nursing is already a weighing profession. This comes out to being that male nurses make more than $5,000 a year more than than their female counterparts for working the exact same hours and doing the exact same tasks during the work day. Although the wage gap within many different profession has definitely decreased since 1963 when the Equal Pay act passed which is a step in the right direction, unfortunately, has not improved in medicine. Fortunately, the wage gap has improved drastically in most professions, but it does however still exist largely in medicine/nursing. Because the majority of nurses are female, it's crazy that a small amount of nurses currently working are making about $5,000 more than the majority of nurses. Because nursing is the most popular field within the medical field to go into and the majority are in fact female, the wage gap affects approximately 2.5 women in the nation.

It is hard to understand why wage gaps still exist in this day and age. The same amount of education is required from both male and female. Males do no get seperate or a higher degree of education in order to work in their desired field. In 2008, it had been shown that there was over 3,000,000 nurses that were accredited and registered, however still, out of 3,000,000 nurses, 6.6% of that variety were male ("Men In Nursing Entering"). More recently in 2011 another statistic showed a gradual rise in this number to 9.6%. Some attest to the fact that male nurses make more money due to the lower number of them there are to female nurses.

The wage gap has always been in existence and has no sign of improvements in the right direction yet. The best way to get information out there so people are aware of this issue is to openly discuss it. A great number of private sector workers say they are prohibited from talking about their salary rates so that the issue doesn't come to light but more often than not men are benefited more than women and women are overlooked. The best way for there to be a topic of discussion brought up about it is for more women to come out and discuss it with their employers. Men are more known to go for what they want in the workplace. They're more aggressive with asking about pay raises and moving up from their current status whereas women are often not as aggressive with their conversations. Besides that, more often than not men tend to come out more successful than women when hustling for their pay.

According to Joanne Spetz, "labor-market shortages are self-correcting; wage increase will bring labor markets into equilibrium, and policy intervention is not necessary" (Spetz, 199). It's unfortunate because nursing is such a great field to go into for some reasons, but recently there has been an alarming shortage increase for a while now due to growing knowledge of the wage gap and low pay that also doesn't have a solution in progress and isn't talked about. Researchers are projecting that by the year of 2020 the shortage could be as low as 800,000 dollars which is significantly lower than it once was. (Spetz, 199) In order to counteract this shortage, hospitals and clinics are trying to combat it by offering a higher starting salary of 5.7 percent and other benefits as well. All of these new bonuses are set in place in order to attract new hires. A shortage in nurses is a major dilemma for hospitals because nurses are a vital part to the medical process so therefore a shortage of them is a huge problem.

The wage gap is such a old way of thinking. The wage gap should not be in existence anymore because it simply doesn't make any sense. No company has been able to give a reason for why the pay isn't equal. It is not morally correct and sets up men to live a more comfortable life than women for doing the same job. It almost makes it seem that women are being punished simply just for being a woman. Imagine doing the exact same job everyday as somebody else you work beside and they are able to afford more luxury and just overall live life a more comfortably than you can just purely based on their gender.

Another reason why I think the wage gap should be closed is because I think the reason we are losing so many nurses is not only because of burn out, but also because of pay. When nurses experience burnout and want to quit, I believe they would be less willing to get out of the profession completely if they were making a paycheck that they felt they deserve. Even nurses that are not aware of the male/female wage gap could still feel like they are not making enough for it to be worth their time. We are losing so many nurses and the nursing shortage will only continue to grow if morale continues to decrease among nurses. I think that having larger wages will benefit workers and keep them wanting to work and the first step could be closing the wage gap completely. Without this change in wages, there will be less nurses overall and that means more work for the nurses that are there which will cause the remaining nurses to burn out quicker which will cause more nurses to leave and that cycle will continue unless there is change. Nurses either leave the profession due to burn out or due to low wages or both so this needs to be fixed fast so we do not lose any more wonderful nurses because they do not feel appreciated. It is completely clear to most people that the job that nurses do every day is hard and stressful, yet students still continue to want to study medicine and ultimately be part of this career because it is so rewarding. Nurses love their job and their patients and that is what they are there for. Without that love, they would never have gone to school to become a nurse in the first place, but there is only so much they can put up with before they leave and for some of them, the wage gap is too belittling to put up with.

Did you like this example?

Cite this page

Wage Gap in Nursing. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

What did Make the Chinese Market Attractive to Uber

The untapped potential of the Chinese market appeared ideal for a ride share company such as Uber. Not only was it the largest commuter market in the world, there was an underserved need of those commuters for better transportation back and forth from work. This need was not being satisfied by the current offerings of taxis, and a considerable number of commuters did not own their own vehicles. This meant that Chinese business people were already sharing their commute, comfortable with the sacrifices needed to schedule a ride, and were willing to pay to be transported to and from their place of work. The threat of buyer power was already low in this market because commuters had no choice but to pay to be transported. The market potential was significant for Uber; the number of prospective customers high. The data was also readily available on the specifics of the customers, with online sources available that provide detailed information on the Chinese commuter market demographics, geographic distribution, and psychographics. Also, the growth rate potential was moderate, with the opportunity for Uber to expand outside of business centers, into urban and rural areas of China as well. This growth could possibly expand into related geographic segments with large commuter populations, but few personal vehicles, such as India, Korea, South America, and Taiwan. All these factors play into a high market attractiveness.

Competitively, Uber would have a unique stance against substitute competitors for traveling: taxis and public transportation. Both taxis and public transportation have proven to be ineffective and inefficient, with taxis refusing to operate short distances or during rush hour. Bicycles are a moderate threat, though most middle-class business people do not want to ride a bicycle back and forth with their briefcase, and bicycles are limited by the distance that one person can pedal on them. Uber is also an established company that would have no problem supporting this new venture with management and financing. Furthermore, the infrastructure needed for ride sharing apps to be successful in China is already in place, with roads, personal vehicles, and cell phones already established and proliferated in most areas with commuters. Lastly, the threat of new entrants in the market is low due to the government restrictions placed on ride sharing apps. If Uber were to enter the market, it would have to be with governmental approval, which will restrict a significant quantity of competitors also entering. The only moderate threat would be supplier power since Uber depends on the few citizens that own personal vehicles to sign up as drivers for their company. There is always the threat that only a limited number of people would sign up and then the app would be unsuccessful. The other threat that Uber had was the incumbent ride sharing apps, which Uber probably foresaw as equal competitors, but not dominant in the market. This seemed like a minimal threat though when evaluating all the possible potential, so the future competitive position of Uber was strong?In the end, Uber China spent $2 billion on promotions and incentives for drivers and riders even though the company was only valued $8 billion?? Uber could not achieve a sustainable competitive advantage in China?

What positioning option could Uber China have pursued as a standalone company in China? Do you believe it could have succeeded on its own with your suggested positioning strategy?

Before Uber entered the market in China, there was an existing competitor that had been already establishing their brand for a year. Similar to Uber, with even more options available, Didi Dache created a name for itself and lead the ride-hailing market in China. This would be a tough environment for Uber to come into with a competitor that was not just successful already but had made important partnerships that enhanced their brand. In order to succeed, Uber would have had to have differentiated itself from Didi.

What kind of strategy should Uber have used when entering into the Chinese market? Uber saw an opportunity because of the need for ride-hailing but would need to be able to differentiate itself from the customer base that was already familiar with companies like Didi Dache and prove that they had competitive advantage. First, they would need to decide how they wanted to differentiate themselves, whether that be through employee differentiation, channel, image, or services. In this case, they may want to focus on services. Didi was using the WePay app, but was that the most used method of electronic pay in China or were others more popular? Uber could have survey users for what they believed to be most important to them in a hailing app and focused developments on areas where their competitors lagged. Second Uber could investigate partnering with other successful online businesses for a rewards program. Instead of receiving $10 off for a ride, maybe they received points that would build up to some of China's more popular restaurants for delivery services. If they did not have cars to travel in, this may be a way to engage in both ride hailing as well as partner with an already established brand.

Regardless of the choice Uber made when entering the market, I think they had a big challenge ahead of themselves with an already successful hailing company existing in the market. I don't believe they had a chance without investing a significant amount of budget into R&D into what may improve/differentiate their service.

Reference :

  1. http://fortune.com/2016/03/07/uber-china-2/
Did you like this example?

Cite this page

What Did Make the Chinese Market Attractive to Uber. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Van Gogh in Blue

 Vincent Van Gogh (d. 1853-1890) was a 19th century artiest that is most notable know for his oil painting Starry Night. However, Van Gogh didn't initially set out to become an artiest. He grew up in the Netherlands and the son of a missionary. He attempted to become a missionary, preacher, and teacher without much success. He was later dismissed by the church in 1880. He then found a career in art. During his life time he completed 900 painting and over 1,000 drawing. His first works were very dark. His worked slowly changed and during his finally months' blue seemed to control the tone of all his works. Was this apart of faltering mental health and the burned he preserved himself to be to his brother Theo? In the finale works of Van Gogh such as Adeline Ravoux (1890) and Wheat Field with Crows (1890) the blues give ominous vibes of loneliness and suffering. The life of Vincent threw color and how his environment and mental state effected his perception of the world around him. Despite creating such a large amount of work he did not sell much of anything. He had his first commission drawing in 1882 by His Uncle C. H. Van Gogh, an art dealer. Around the same time as the commission Vincent took painting lessons from Anton Mauve were he was taught the basics of painting in watercolor and oils.

He began to work in very rich browns and blacks tones. His brother, Th©o, was supporting him. The plan was that Th©o would take his art and sell it in the Paris art market. Vincent's work was distinctly too dark of a tone for the trends at moment and never sold. After his Father death in 1885 he enrolled in academy of art in Antwerp and left the Netherlands. Vincent found the classes too traditional and even wrote to Th©o about it. After leaving the school Vincent and Th©o arranged for him to go to Paris and take lessons in the studio of Fernand Cormon. Due to his brother being the manger of Goupil Art Dealers, Van Gogh was exposed to many modern artiest influenced him to experiment more and move away from the dark tones. His creativity flourished in Paris. The city life seem to strain on Vincent after 2 years. He took a day train ride to south of France in 1888 and settled in Arles. Th©o set up for the Artiest Paul Gauguin to go live and work with Vincent. While they worked hard and had some great collaboration they had very different ideologies about art. The strained friendship resulted in the famous ear incident. This incident lead to a noticeable decline in Van Gogh's health. Fearing more illness Van Gogh voluntarily admitted himself to Psychiatry Hospital in Saint-R©my in 1889. His health verried during his time at the clinic. During good periods he would be allowed to paint outside but during a period of confusion he ate his oil paint. This lead to being restricted to only drawing.

During his year there he created 150 paining. During and after his time at the clinic Van Gogh 1 Van Gogh Museum painting shows heavier and heavier uses of blue. During his last year Van Gogh spent all of his time painting. His health seemed to even improve with the speed of painting. Later due to financial dependence and health Vincent felt burned with stress. He painted and wrote to his brother about the wheat fields that conveyed "they're immense stretches of Wheatfield's under turbulent skies, and I made of point of trying to express sadness, extreme loneliness".1 He would later walk to the fields and shoot himself in the chest with a pistol. He would die three days later. Van Gogh Life lead him down a interesting exploration of the world around him. You can see as he moves around France and is exposed to more modern artist his concept of color start to change. His colors become more alive and vibrant. The first paintings becoming more and more a distant memory. In 1888 before his first episode his use of the color blue is preset but is not a dominating factor. Its not till 1889 that the blues truly take over. In the works done during his time at the clinic the colors change drastically. His brush strokes become more pronounced during this time. The brush strokes almost showing the fractured of mind and stress that Van Gogh was facing at the clinic.

The color blue can be seen taking over his emotional connection to the painting. As seen in Image 1 the blue and green brush strokes in the background creating a calming swirl of colors and emotion. His facial expression giving the impression that he's in pain and doesn't seem to know how else to express it. Leaving him looking confused and in pain. All this under that blanket of tranquility and depressive tone of blue. 1 Van Gogh Museum While Figure one shows good incited to Van Gogh relationship with color its not till his final month that it really becomes evident that it was more than just an understanding. In Figure 2, painted the year of his death, depicts women in a light blue dress and a dark blue background. The background, a mixture of blue and black strokes, expresses something very chaotic and sinister. While the women is more calm and accepting. This contrast of emotions shows how Van Gogh was at constant contradiction with himself.

Did you like this example?

Cite this page

Van Gogh in Blue. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Electric Vehicle Company Tesla

We have all seen the big rigs, the Peterbilts, the Macks, the Freightliners, the Chevys, the Fords, the Kenworths, and the Internationals. We have heard the songs, "Six Days on the Road" by Dave Dudley, "Big Wheel Cannonball" by Dick Curless, "Truck Drivin' Man" by Jimmy Martin, and "East Bound and Down" by Jerry Reed. We hear the stories about their great might. And we love to hear the whistle and growl in that diesel engine. However, these diesel trucks will soon be overturned by a new rival.Electric vehicle company Tesla, Inc. has a new product, the Tesla Semi. This truck is a Class 8 truck, which is a step under the severe duty trucks (Class 9). The Class 8 trucks are what we see rolling down the highway each day. This truck was designed by Franz von Holhausen, the designer for vehicles at Tesla. They will most likely be produced in the Tesla Factory in Fremont, California. The Semi is expected to start production in January of 2019.

The use of this truck is highly questionable. Some people believe the traditional trucks are more dependable. Some critics are saying that an electric truck carrying heavy loads is impractical. Some do say, however, that this truck will change the future of transportation and is highly helpful. A disadvantage to this is the chargers. Tesla has to create "Megachargers", and I imagine that the trucks will not be released until these chargers are put out, which may be a while.I believe that these trucks will not replace our real and powerful trucks. We already have enough dependence on them. Besides, everyone wants to whine about the deadly forces with pollution from the real trucks, but half of the things they have are because of the diesel trucks. People in the world will go with something they know they can trust. Peterbilt, Kenworth, and Mack are the top heavy duty truck producers, and they have been in the game longer and people trust them and believe they know what they are doing.To be honest, with all of these electric cars, I believe this world is going to the dogs. We can't always rely on electricity. What happens if you're driving along in the desert and you run out of electricity? You will be out of luck.

Call in a real truck (Peterbilt, Mack, Kenworth, Freightliner, International, or Autocar) to pull that truck out of there. Just got to keep experimenting with it and make it better.Some companies have already come up with the idea for electric vehicles. Chevy and Ford have the Sonic and the C-MAX Hybrid. One company is going for the electric big rigs, besides Tesla. Freightliner has an electric version of their most famous line of trucks, which are the Cascadias. This electric truck is called the Freightliner e-Cascadia. This truck will release in 2019, just like the Tesla Semi.

Did you like this example?

Cite this page

Electric Vehicle Company Tesla. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Prevalence and Pathobiology of Tuberculosis

Introduction

Tuberculosis caused by M. bovis has been shown to infect all species of deer so far studied (Clifton-Hadley and Wilesmith, 1991). Lesions typical of Tb have been found in a zoo park in Taiwan in sambar, fallow and sika deer (Wu, 1986). Tuberculosis in deer caused by M. tuberculosis has been found in park deer in India (Singh et al., 1986) and in Indian zoos (Shah et al., 1986). In England, relatively high prevalence of bovine tuberculosis in deer has been reported, which acts as one of the sources of infection to cattle (Ward et al., 2009).

Deer occupy an extensive range of habitats worldwide and there has been a long history of human intervention in the management of deer over the past 50 000 years (Fletcher, 1992). Attempts to manage the animals as a domesticated species have been undertaken for over 5000 years, and farmed deer are now found in many countries. Deer are found naturally in the wild in most continents, and selected populations have been held in game parks, zoological parks and gardens across the world.

The disease has been found sporadically in wild deer (McDiarmid, 1960) and more frequently as a spreading infection within farmed deer herds. There have been recorded cases of Tb in wild white tailed deer (Odocoileus virginianus) in America (Levine, 1934), axis deer (Axis axis) in Hawaii, (Sawa et al., 1974), fallow deer (Dama dama) in Ireland (Wilson and Harrington, 1976), sika deer (Cervus nippon) in Ireland (Dodd, 1984) and roe deer (Capreolus capreolus) in England (Gunning, 1985). The advent of deer farming has amplified the incidence of Tb in cervidae. Bovine tuberculosis is one of the most important zoonoses and is a disease that is prevalent in livestock in Pakistan (Javed et al., 2009, 2010a, b). Infected wild deer are a possible source of contamination for domestic livestock (Stumpff,1982). Captive deer in zoos or wild life parks also act as a significant reservoir of Tb whenused as foundation stock for deer farming (Towar et al., 1965).

Gross lesions

Tuberculosis granulomas in the lymph nodes of the head, lungs, intestine and carcass. These have usually a well-defined capsule enclosing a caseous mass with a calcified centre. They are usually yellow in colour in cattle, white in buffaloes and greyish white in other animals. Active lesions may have a reddened periphery and caseous mass in the centre of a lymph node. Inactive lesions may be calcified and encapsulated. Nodules on the pleura and peritoneum. Lesions in the lungs, liver, spleen, kidney. Bronchopneumonia. Firmer and enlarged udder, particularly rear quarters. Lesions in the meninges, bone marrow and joints.

Prevalence:

TB caused by infection with M. bovis has one of the broadest host ranges of all known pathogens and the organism has been isolated from most domesticated and wild animals (O'Reilly & Daborn, 1995). It has been isolated from a wide range of deer species. Understanding of the prevalence in deer in the UK is an important step in understanding the epidemiological in role transmission/ maintenance of bovine tuberculosis (Gowtage et al., 2009). In the USA, the role of deer in spreading bTB to cattle has been identified (Schmitt et al., 2002; Wilkins et al., 2003), and is also suspected in Spain (Aranaz et al., 2004). In England, relatively high prevalence of bovine tuberculosis in deer has been reported, which acts as one of the sources of infection to cattle (Ward et al., 2009). In England, relatively high prevalence of bovine tuberculosis in deer has been reported, which acts as one of the sources of infection to cattle (Ward et al., 2009). TB in New Zealand's foundation deer farming stock arose largely from endemic infection present in captured wild deer, which became infected through exposure to TB-infected cattle and brushtailed possums (Trichosurus vulpecula) (Morris et al., 1994). Considering the high levels (>50%) of cattle infected with TB in Europe and North America in the early 1900s. While endemic TB in wild deer is uncommon, it has been diagnosed in populations in Canada (Tessaro, 1986), Great Britain (Rose, 1987), Hungary (Zomborszky et al., 1995), Ireland (Dodd, 1984), New Zealand (Mackintosh & Beatson, 1985), North America (Levine, 1934; Sawa et al., 1974; Wagner, 1993) and Switzerland (Bouvier, 1957). Recently, there has been a widespread and persistent outbreak of tuberculosis in free-range white-tailed deer (Odocoileus virginianus) in Michigan, USA (Schmitt et al., 1997).

Work on Tuberculosis in Bovines:

Rapid in vitro cellular assay for bovine tuberculosis based on the production of 'Y interferon, HIV/AIDS-ASSOCIATED HUMAN TB DUE TO M. BOVIS,A sandwich enzyme immunoassay for bovine interferon?and its use for the detection of tuberculosis in cattle, Correlation of ESAT-6-Specific Gamma Interferon Production with Pathology in Cattle following Mycobacterium bovis BCG Vaccination against Experimental Bovine Tuberculosis, Use of Synthetic Peptides Derived from the Antigens ESAT-6 and CFP-10 for Differential Diagnosis of Bovine Tuberculosis in Cattle surveillance records on cattle slaughtered and suggestive tuberculosis lesions from cattle slaughtered annually from 2007-2012 in Jos abattoir, Plateau State.

Work on Tuberculosis in Wild Animal: The single intradermal tuberculin test, BLOOD TESTS FOR TB DIAGNOSIS, MOLECULAR TYPING OF M. BOVIS ISOLATES, Mycobacterial identification culture methods, PCR amplification, Sequence analysis of PCR products amplified from M. bovis and M. tuberculosis.

The prevalence of disease in zoo animals is a direct threat to people working in the zoo and the visitors. It has been emphasized that the TB testing in zoos may be carried out regularly, though no standard protocols are currently in place. Skin testing with tuberculin is still considered as an efficient test for various animal species and is in use in wild and zoo animals. In Pakistan, no work could be traced indicating prevalence of the disease in wild or zoo animals.

Methodology: 1-Tag deer,collect blood and perform Bovigam assay. The BOVIGAM?® test is a blood-based in vitro laboratory test for bovine tuberculosis. It is based on the detection of cell-mediated immune response to infection with Mycobacterium bovis. The BOVIGAM test involves two stages. In the first stage, blood samples are incubated overnight with antigens, such as tuberculin purified protein derivative (PPD) or the newly developed "peptide cocktails", to stimulate lymphocytes to produce IFN-??. In the second stage, IFN-?? in the plasma supernatants of each blood aliquot is determined using a sandwich ELISA. IFN-?? present in the sample binds to anti-bovine IFN-?? monoclonal antibodies on a solid support and is visualized with a second anti-IFN-?? antibody labeled with an enzyme that generates a color signal. Color development is proportional to the amount of bound IFN-??.

Did you like this example?

Cite this page

Prevalence and Pathobiology of Tuberculosis. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Diagnosis of Tuberculosis

Tuberculosis is an infectious, contagious, virulent and inoculable disease whose etiological agents are Mycobacterium tuberculosis. It is Robert Koch who described in 1882 the tubercle bacillus. This infection is common to humans, all species of domestic animals and some wildlife species. It is also a zoonosis.

Known since prehistoric times, tuberculosis has spread widely around the world. The first known precise description of the disease is that of the Hippocratic books. Tuberculosis was then called "Phthisis". However, tuberculosis is still not eradicated. On the contrary, it is nowadays ubiquitous (the industrialized countries are not spared) and is experiencing an upsurge engendered by demographic pressure, poverty and AIDS. Eight to ten million people in the world suffer from tuberculosis each year. The animal populations affected are numerous.

The clinical status of infected non-human primates might be altered, in spite of the fact that this is more likely to happen in the active form than in the latent form of tuberculosis. Weight loss may happen after the first month post-infection, as well as initial hyperthermia (three - eight weeks post-infection). Other clinical signs are scarcer but may include coughing or abdominal/pleural effusion. On a bloodwork panel, transient neutrophilia may occur within the first weeks. Erythrocyte sedimentation rate, fibrinogen, C-protein, and other inflammatory biomarkers may rise as well, while the albumin/alpha-2 ratio could diminish via plasmatic protein electrophoresis. Related to the clinical examination, imaging tools other than radiographs/computed tomographic-scan can help, such as endoscopy or ultrasound which could be used to envision granulomas or suspicious lymph nodes and to perform biopsies.

A dorsoventral chest radiograph can be used to detect thoracic irregularities. Lesions can be present anywhere in the lung and may differ in density, size, shape, and the manifestation of cavitations. Thoracic radiography may affirm pulmonary illness but cannot distinguish between tuberculosis and other pulmonary granulomatous or cavitary diseases such as echinococcosis, nocardiosis, aspergillosis. Therefore, chest radiographs might be utilized as an extra test method simply to screen for tuberculosis. Despite the fact that this extra test has a constrained sensitivity, it is valuable for the identification of non-human primates which have a negative tuberculin skin test (TST) response because of immunosuppression in an end-stage and fulminant sickness. Contrasted with other species, non-human primates rarely develop calcified lesions. Thus, chest radiographs can be hard to interpret and, in a perfect world are displayed to an accomplished radiologist for interpretation. There are no pathognomonic lesions, however enlargement of the bronchial lymph nodes might be an early albeit vague sign of pulmonary mycobacteriosis. Bigger tubercles or cavitations might be visualized radiographically. Radiographs of the abdomen may aid in identifying or confirming splenomegaly or mesenteric lymphadenopathy. Computed tomography scanning or magnetic resonance imaging can give comprehensive real-time imaging of disease progression and uncover small granulomas that might be overlooked despite regular radiographs.

The purpose of the intradermal reaction is to reveal a specific state of tuberculous hypersensitivity. Tuberculin reaction and pulmonary tuberculosis are different expressions of Type IV hypersensitivity (HS IV). The first corresponds to a localized expression and the second is a pathological reaction of the immune system.

Mechanism of the tuberculin reaction: The state of hypersensitivity results from the presence of specific antigens contained in the tubercle bacillus, in BCG or in other Mycobacterium tuberculosis (atypical especially) which have antigenic kinship. The tuberculin hypersensitivity reaction is delayed cell-mediated and peaks after 48-72 hours. Its presence means that there is an infection of the body by living Mycobacterium tuberculosis. If these Mycobacterium tuberculosis are pathogenic, there is an infection with tuberculosis.

Intradermal TST with bovine or weak tuberculins are carried out using an injection of 0.1mL (2.500 IU) of tuberculin. It is done with a syringe. The dosage is accurate and the penetration strictly intradermal. The injection is made proximal to the lateral canthus of the upper eyelid. In numerous laboratories, the in vivo diagnosis of tuberculosis depends on the intradermal TST using Mammalian Old Tuberculin (MOT) or purified protein derivates (PPD). In the United States, the only USDA approved tuberculin for non-human primates is MOT produced by Symbiotics, Inc. In large primates, intradermal injection of 0.1 ml of MOT using a 26 gauge needle in the palpebrae. In small primates, a reduced dose (0.05ml) can be used.

It is made in the hours following the 48-72nd hour (maximum reaction point). The allergic reaction is late, progressive and lasting. Inflammation results in (a) hot, red, circular or elliptical nodule(s). When the reaction is very strong, an oozing exudate surrounded by a hemorrhagic zone (it is a zone of necrosis) can be observed. Its drying leads to a pressure ulcer. Truncular lymphangitis and/or adenitis of pre-scapular ganglia may be associated.

Whole blood IGRAs ought to be believed to be as an alternate or as a complementary tool to TST. These tests evaluate the cellular-mediated immunologic response to mycobacteria. IGRAs perceive cellular reactivity to antigens by gauging interferon-gamma (IFN?) production by live lymphocytes found in a whole blood sample. IFN? is a crucial cytokine involved in the cell-mediated immunologic response towards mycobacteria. The assays can distinguish between M. avium and M. bovis infection by baring blood samples to bovine and avian PPD. Instead of PPDs, single antigens could also be utilized in the test to supply additional specificity. Recently, a whole blood stimulation assay has become commercially accessible as a PRIMAGAM test which is approved for usage in rhesus and cynomolgus macaques. The assays can distinguish between M. bovis and M. tuberculosis complex infection by incorporating bovine and avian PPD separately in the test. The amount of interferon created via stimulation of different antigens are often wont to be used to differentiate a reaction due to M. tuberculosis/bovis or atypical mycobacteria. It is a quantitative assay with respectable sensitivity and specificity compared with illness status determined by pathologic examination.

Recent results advise that the IFN? response to tuberculin antigen might not be dependable in cynomolgus macaques and that another cut-off ought to be used to read the analysis. PRIMAGRAM, when compared to TST, has a low sensitivity and high specificity. A combination of these two tests could increase the overall sensitivity and specificity. Whole blood with anticoagulant, ideally lithium-heparin, is required for testing. As the test depends on stimulation of primed T-lymphocytes, the first obligatory step is to ensure that blood cells remain viable for in vitro culture. Thus, samples should be available for testing not later than eight-ten hours post-sampling and ought to be kept at ambient temperature in the meantime. Particular care should be paid to ensure homogenous and full mixing of blood and anticoagulant at collection. IGRA is an in-vitro test, and so discards some effects of in vivo tuberculin injections. Over the past few years, comparable assays for humans (T-SPOT-tuberculosis) and oxen (Bovigam) gave dependable and enlightening results on the status of tuberculosis infection. There is scant data about the usage of Quantiferon Gold test in non-human primates. A comparison of this test with the TST showed that the Quantiferon Gold test would possibly be a highly sensitive tool for the identification of mycobacterial infection in rhesus macaques, but it was unimaginable to discover specific infection with M. tuberculosis with this test. However, three vital caveats ought to be known regarding IGRAs used in non-human primates.

First, there are many different interpretation guidelines, based on diverse calculation methods with varied cut-off thresholds. In humans, IGRAs are better-known to have a high variability between individuals. Thus, caps might be influenced by the species and as the individual knowledge. Experienced technicians are required for the completion of IGRAs, and raw data will be communicated and documented properly. It is essential to possess a balanced interpretation scheme. The test implies the use of a mitogen as a positive control. An aliquot of the sample is bared to this mitogen, which in turn provokes an undefined application and IFN? creation in lymphocytes. However, this mitogen is typically not provided by the test and ought to be selected by the laboratory. The level of undefined stimulation is species-dependent and must be gauged when an IGRA gets established. For instance, a human IGRA could be used for some species of non-human primates but includes PHA as a mitogen, which is regrettably known to be a frail stimulant in non-human primates. Lab technicians who perform IGRA must be mindful of mitogen/species distinctions. Unfortunately, however, the majority of non-human primate species lacks this information. It is thus suggested to utilize two or more diverse mitogens to test non-human primate species with scarcity of information about the most appropriate mitogen. The third caveat is the recognition of IFN? itself. IGRAs rely on ELISPOT or ELISA which are designed to uncover IFN? molecules for specific species.

Throughout the non-human primate taxonomy, IFN? shifts in configuration and structure, and there’s no broad ELISA that’s capable of distinguishing interferon of all species. For example, ELISA within PRIMAGAM is a “simian INF?” ELISA but is incapable of detecting IFN? in most New World monkeys. Hence, the parallel utilization of TST and PRIMAGAM is fitting for an ideal coverage in a diagnostic procedure. TST might impact IGRA results when performed a short time before blood is sampled. As observed in other species, a “booster effect” may happen with the previous tuberculin injection reinforcing the immune response acquired on consequent IGRA. Said to extend sensitivity of the test, questions may emerge on the impact on its specificity, as the “boost effect” may be made only by tuberculin sensitization. Therefore, the utilization of a booster method cannot be suggested at that stage. Further studies are required to reply to those questions.

Did you like this example?

Cite this page

Diagnosis of Tuberculosis. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Rate of Growth in Rural Population in Zambia

From the results it can be noted that the rural population growth rate is declining over the years. In Zambia infant mortality rate is declining and fertility rate too is declining over the years. Mortality declines before fertility due to better nutrition, and sanitation. Increased child survival means fewer births are needed to ensure the desired number of surviving children and thus a general fall in the population growth rate.

Economic transformation is the overriding feature of economic growth in low- and middle-income countries. Transformation is from a predominantly rural and agricultural nation to one that is predominantly urban with urban industry and services dominating the economy. It is accompanied by a demographic transition. The population growth rate first accelerates then slows and eventually declines. Health and life expectancy improve greatly (Mellor, 2017). In Zambia the seats held by women in the National Assembly has increased over the years. Women empowerment is important to economic transformation. Hence, measures that raise women's status and allow them to realize their potential through women's inclusion in workplaces, action to reduce violence against women, equal rights, and gender-sensitive social protection are to be considered. Exposing the women to better health care chances are, premature deaths of young children will decline and thus the mothers is also likely to reduce fertility.

The total number of people with Internet access in Zambia rose over the years from 2.9% to 10.0% to 25.5%. A population with such exposure to mass media/internet often portrays successful people with small families and family planning services. The fertility rate has been declining over the years as well as infant mortality rate in Zambia. Such observations could be attributed to; intensive publicity accompanied with efforts of making family planning services available in the rural areas. Effective family planning services can be achieved by delivering the services in villages to mothers, preferably through local women. In addition to this, Arranging for programs that warrant availability of the full range of birth control technologies, are key reason why birth rates have declined hence falling population growth. In the wake of rapid agriculture growth such programs work reasonably well in achieving population growth rates that can be managed.

Rapid decline in birth rates decreases the dependency ratio that is, dependency ratios of young and old to those in working age fall in rural areas .In Zambia the ratio of the young/old population has been declining over the years. This means that those in the working age group are growing more rapidly than the population that is dependent on it. Such decrease in dependency ratio will encourage savings and investments and possibly result to an increase in GDP per capita. More so, with women less occupied with child bearing and rearing, they are likely to explore job opportunities outside the homes and thus household welfare is likely to improve.

Low education levels especially in women may continue to uphold early marriage and child-bearing. The Government expenditure on education in Zambia decreased from 1.7% in 2005 to 1.1% in 2010. The female who enrolled for primary education has been increasing. Better education aided by Increase in government expenditure is key for economic growth. Better education and particularly for girls, can lower fertility as it leads to more knowledge available about health and nutrition and absorbing the knowledge increases women's role in the family in terms of making family planning decisions. Well-educated rural population has ability to consume information shared by agriculture technical personnel and apply it with other innovations in agriculture to improve overall production.

Investments in rural infrastructures should be promoted as they have positive impact on fertility and on agricultural productivity and rural incomes. Poor transportation restrains girls' participation in formal education more than boys; therefore, Infrastructures such as (roads, electricity, and mass media/internet) are important changes in reducing birth rates. Roads facilitate access to education and family planning by the rural population. With falling rural population growth, labor supply in the rural areas tends to fall and thus it is important to shift from labour intensive to more capital intensive methods of agriculture production. By establishing infrastructure such as irrigation farmers can maximize output on their small sizes of land and an overall increase in agriculture production.

In Zambia, employment in the non-farm sector has increased from 27.7% in 2005 to 47% in 2018 while that in the farm industry has been falling from 72.8% in 2005 to 53.0% in 2018. This situation is as a result of the wages difference in the two sectors, non-farm sector tends to have better income and hence rural people shift from the farm sector to go work in the non-farm sector. Most of the non-farm sectors are located in urban areas. Better migration policies that tend to be more informative, would try to aid rural household choices by enabling migrants to easily access services such as identity cards, and providing information on opportunities available at destinations. Developing rural financial services could prevent migration; people from rural migrate in search of capital for investment back in the rural areas. Financial services such as micro-credit are particularly important in encouraging women to participate in the small businesses that are important to the economic transformation. Income generated from such non farming activities can be used to purchase inputs, certified seeds and pesticides and hence it is expected that agriculture output will increase. When women embrace entrepreneurship they tend to have greater interest of birth rate issues.

Government of Zambia allocated no budget for research in 2005 but in 2010 it allocated 0.3% of the GDP to research and development. Research and development is essential for innovation in agriculture. With falling rural population Innovations such as genetic improvement of crops is essential for higher agriculture production. For instant, in the wake of falling workforce, having plants that are weed tolerant or pests and diseases resistant are quite handy as they utilize less labour. Technological innovations in agriculture results to crops that are more nutritious and better nutrition is key to declining mortality rate and overall decline in fertility rate. Government expenditure on research and development is of concern to the overall growth of the agriculture sector.

As rural populations fall, policies that encourage property rights over land are to be encouraged. Registration of informal rights to land and land transfers should officially be recognized. By doing so, it gives farmers right to operate the land. Other land issues such as fragmentation might trigger land laws that encourage consolidation of farming and thus allowing fields that can employ capital intensive farming methods.

Did you like this example?

Cite this page

Rate Of Growth In Rural Population In Zambia. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Vincent Van Gogh as the Greatest Dutch Painter

Certain forms of mental illness have a strong link to creativity, to the perception of color and shape, and to the outlook one has on the contemporary world. Individuals suffering from mental illness display a scope on the world in a original way, blah blah describes this as literally seeing what others cannot. Mental illness is clearly not necessary for creativity or success - and certainly has serious negative consequences for the sufferer’s daily existence - but so many highly acclaimed creative artists have excelled in their field despite their illness, that it has spawned a familiar cliche’. The cliche’ of the ‘tortured artist’ has in turn brought a common presumption that creatively gifted people are more likely to suffer from mental illness than others. This idea of a substantial connection between genius and madness is said by blah blah to have dated back to the period of Aristotle. Blah blah

Academics have long suspected a link between creativity and mental illness. Vincent Van Gogh is a prototypical example of this link. The mental state of Vincent Van Gogh contributed to his creative genius, to his success, and ultimately to his downfall as an artist.

The early life of Vincent Van Gogh is a small factor adding to the explanation of his tragic downfall. Van Gogh father, Theodorus Van Gogh, was a minister and his mother, Cornelia Van Gogh, raised him and his six siblings in poverty. His family's financial struggles forced him to abandon school and find work at his uncle's art dealership. from a young age Van Gogh had a connection to painting, but no unusual artistic ability is said to have been apparent during his childhood blah blah. At age 20, Van Gogh moved to London, where he continued to dedicate himself to working in another art dealership. Shortly after his transfer Van Gogh abruptly neglected his work and fell into a deep period of profound depression, marking the first known account of his insanity. One common explanation for this sudden abandonment, written about in Van Gogh: The Life, by Gregory Smith and Steven Naifeh, says after his move to london Van Gogh fell in love with the daughter of his landlord, Eugenie Loyer, and the refusal of his wedding proposal sparked his crazed solitude. This lead at first to a renewed devotion to religion, but turned to a seemingly unhealthy obsession with devoting himself to God. Hoping to follow in the footsteps of his father, Van Gogh volunteered as a pastor in a poor Belgian town. Van Gogh empathized with the poor, spending most of his days in their company, understanding from intimate personal experience the hardships of their poverty. Unfortunately, Church authorities became displeased with him for interpreting Christian teachings too literally blah blah. Feeling failed, Van Gogh left for France, and there began his career as an artist.

In France, Van Gogh lived in the home of his brother Theo, who supported him financially. There, Van Gogh began painting side-by-side with fellow artist and companion Paul Gauguin. Due to his unstable behavior, Vincent became a burdensome associate. In a letter written to his sister, Theo wrote, “It seems as if he were two persons: one, marvelously gifted, tender and refined, the other, egotistic and hard hearted. They present themselves in turns, so that one hears him talk first in one way, then in the other, and always with arguments on both sides. It is a pity that he is his own enemy, for he makes life hard not only for others but also for himself. The description of Van Gogh's customs described by his brother are likely to be symptoms from a manic depressive episode, blah blah states episodes can be followed by “Making odd decisions on the spur of the moment, sometimes with disastrous consequences.”. One night while having an argument with Gauguin, Van Gogh threatened his friend with a blade, turned it on himself and cut off his left ear. After the fact, Van Gogh allegedly gifted his severed ear to a prostitute. Soon after returning from the hospital, Van Gogh painted a now famous self-portrait titled, Self-Portrait with Bandaged Ear. Shortly after the famous incident, Van Gogh self-admitted himself to the Saint-Paul Asylum. Van Gogh continued to paint during his time in Saint-Paul, since he believed painting was his only chance at regaining his sanity, “Art is to console those who are broken by life.”. Van Gogh's tormented mind allowed him to produce paintings expressing his ingenious outlook on the world that is otherwise unachievable by any other, not to mention the ones truly unproducible; a self-portrait portraying a self severed ear. Van Gogh proclaims, “I put my heart and soul into my work, and I have lost my mind in the process.”

The evidence left from Van Gogh's mental health records today lead medical experts to consider many conditions from which he may have suffered. Those conditions include bipolar disorder, manic depression, anxiety, and borderline personality disorder. As is evident in his artwork, Van Gogh’s major debilitating episodes were separated by intervals of astonishingly productive creativity.

Unfortunately, Van Gogh’s mental illness was persistent, and likely lead him to take little care of himself physically. According to 'Vincent Van Gogh's Illness' by Jamison Kay Redfield, and Richard Jed Wyatt, Van Gogh drank heavily and smoked, isolated himself, and oftenly drove himself to near self-starvation. Van Gogh’s use of absinthe, a highly alcoholic beverage often associated with negative long term effects and social disorders, may have played a role in his unusual perception of light and brilliant color, as reflected in some of his most famous masterpieces.

The evolution of the mental suffering Van Gogh faced can be followed by analyzing his art over the course of his life. His paintings display deep insight on his authentic mind. Van Gogh produced some of his most famous paintings while in mental asylums. Nature features prominently in the series of paintings Van Gogh produced while he was a patient in the Saint-Paul Asylum. Van Gogh summarized his reason for this in a letter he wrote to his brother Theo from Saint-Paul. Van Gogh wrote, “They say—and I am very willing to believe it—that it is difficult to know yourself—but it isn't easy to paint yourself either”. Van Gogh thus painted the landscapes seen through his cell window, while ignoring the confining bars separating him from the outside world, because of the disconnecting void he felt with himself. As a result he produced landscape paintings that acquired the dramatic emotion that would otherwise show expression in self-portraits. Another recurring pattern in the art of Van Gogh is the use of vibrant yellow. Van Gogh used so much yellow that many people believe it was influenced by a mental condition, rather than as a deliberate stylistic taste. Van Gogh was prescribed digitalis, a medicine used to treat certain heart conditions, in hopes of preventing his epileptic seizures. People receiving excessive amounts of this drug can begin to see everything with a yellow hue, or halo. Although rare, patients taking digitalis also can develop unequal pupil size, due to the drugs targeting of certain enzymes found in the eye. The halos seen and described by patients suffering from this digitalis side effect look much like the ones present in Van Gogh’s, The Starry Night. This painting was one among many produced by Van Gogh from inside his asylum cell 

Did you like this example?

Cite this page

Vincent Van Gogh As the Greatest Dutch Painter. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

What are the Problems Posed by Sociocultural Diversity in Singapore?

In a sociocultural diverse society, there are many opportunities for people from different backgrounds to interact. With more interaction between different cultural groups, misunderstandings can sometimes surface due to people’s lack of understanding and erroneous assumptions. As a result, sociocultural diversity can lead to negative impacts such as racism and xenophobia, resulting in possible disharmony and cause serious social problems such as the erosion of trust and weakening of social cohesion between people.

Sociocultural diversity can lead to racism, which is defined as “prejudice, discrimination, or antagonism directed at someone of a different race based on the belief that one’s own race is superior”. Racism can cause increased tensions and conflict among people as it breeds feelings of resentment as people may feel ostracised due to unjust discrimination. It has profound effects on the people who are on the receiving end of racism as it hurts their freedom and dignity

For example, Sunil, a Sri Lankan who spent eight years living in the UK, faced discrimination when finding an apartment as he was rejected by at least four landlords because they felt that Indians “always cook smelly curries” and “are not people who are house proud” despite Sunil’s assurances that Sri Lanka was not India and he would be outside all day. Such discriminations and stereotypes reflect badly on Singapore’s reputation of a society free of racial discrimination (“regardless of race, language or religion”) and are not representative of the entire community. Sociocultural diversity can also lead to xenophobia, which means fear and hatred of strangers or of anything that is strange or foreign and is usually built on the existing prejudices prevalent in a society.

One of the major social impacts of xenophobia is that it breeds a hostile and distrusting society and Singapore, being a sociocultural diverse country that is dependent on foreign talent to sustain its economy, xenophobia negatively affects Singapore’s efforts to continue attracting foreign talent to Singapore as well as companies to set up subsidiaries here, and in turn, has a negative impact on the economy.

One example of xenophobia occurred when many Singaporeans posted anti-immigration or xenophobic comments as they felt that the mediation outcome “Indian family was allowed to cook curry only when the Chinese family was not home since the Chinese family could not stand the smell of curry” was unjust and extremely restrictive as the Indian family’s rights to lead the law-abiding lifestyle of their choice was infringed. This quickly escalated into a xenophobic attack on foreigners in general as many comments in the “Cook a Pot of Curry” page on Facebook, are negative and flame the Chinese nationals with some extremist comments for the Chinese nationals to go back to their country even though most Chinese nationals are not like the PRC family in the incident.

Did you like this example?

Cite this page

What Are the Problems Posed By Sociocultural Diversity in Singapore?. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Cultural Diversity in MNC’s

When the workforce of a Multinational Organization (MNC) is diverse, they are able to generate a unique set of ideas for the company to help it grow and expand. This occurs when the employees come from different backgrounds and also have the ability to come up with creative solutions for the growth of the business (Larson & Schiehle 2016). When employees in a corporation come from different cultures, they are able to brainstorm ideas to help achieve the overall company’s goals (Levy, Boyacigiller & Beecher, 2008). Larson & Schiehle (2016) argue that “a company with diverse ideas has better chances of understanding the new markets and to help it tackle issues that may hinder its growth” (p. 20). They also sometimes strategically placed to help their business gain market share and become successful in the long run. This helps show how people from different backgrounds express different ways in solving a problem (Daniels, Radebaugh & Sullivan 2018).

Cultural diversity can help avoid groupthink in employees in a business organization. When all the employees think alike, they lose the ability to solve complex problems, which most corporations will encounter as the company grows. According to Larson & Schiehle,, most of these problems arise due to “social conformity and pressures on employees to conform and agree” (p. 13). Employees who think alike usually feel intimidated to express their opinion because they want to fit in with their peers (Levy, Boyacigiller & Beecher, 2008). This can hinder creative thinking and significantly affect the process of sharing and execution on new business ideas. However, in diverse workforce, they are able to avoid most of the problems that occur, because employees will not feel pressured to follow the group (Daniels, Radebaugh & Sullivan, 2018). Due to this, they are all able to openly debate, share opinions and learn newer perspectives of problem solving in foreign markets. Discussion and arguments in these organizations are resolved by collectively and creatively sharing ideas to come up with an analytical solutions.

A diverse workplace not only enhances an MNC’s internal operations, but also it’s external relationships with their customers (Daniels, Radebaugh & Sullivan, 2018). Research shows that a diverse workforce is well equipped to connect and deal with people from different nationalities, which in return creates quicker development of trust and understanding between consumers and employees of the company (Larson & Schiehle, 2016). For instance, if the customers of a multinational business come from different cultures, then each group should be represented in the workforce. Both the textbook and article illustrates how a diverse workforce is key to guiding an entity into expansion, better strategies and newer innovative ideas for the market growth.

Did you like this example?

Cite this page

Cultural Diversity in MNC’s. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Air Quality and Climate Change

The influence of clean waterways on our day-to-day lives can be seen in a variety of circumstances, whether it be economically, politically, or in the state of health of the population. Unfortunately, there are some setbacks on the journey to clean waterways. Humanity's footprint on the environment is a growing concern with industries and governments alike. Demand for clean waterways, clean air, and healthy ecosystems has pushed government and industries to regulate and control environmentally harmful waste. Although many argue that more stringent environmental regulations would hurt the economy, harming our planet will cause damage that far outweighs any temporary economic concerns. State, local, and federal governments need to find a way to balance the needs of businesses with environmental regulation.

The direct effect air quality has on humans and wildlife is one that cannot be ignored. Yet many industries continue to contribute to air pollution in the form of greenhouse gases and carbon dioxide. These types of pollution can be hazardous to human health causing lung disease and other respiratory illnesses. Reports have shown that there is a direct correlation between health and air pollution. As stated by the World Health Organization (WHO) report in 2013, about two million premature deaths annually can be attributed to air pollution. 40,000 of those deaths are in the United States alone (Brumley, 2013). As if that is not alarming enough, when chemical particles and pollutant gases available in the atmosphere react with water molecules and oxygen, they form dangerous acidic compounds. Combining these acidic compounds with forms of precipitation, such as rain or snow, can lead to what is known as acid rain. Acid rain can not only damage the leaves of plants and crops but can also have a major impact on aquatic life and animals thus negatively affecting tourism and agricultural economies (Air Pollution and Water, n.d.). Regarding air pollution, a major culprit can be found in power plants. Approximately forty percent of the carbon dioxide pollution in the United States comes from power plants with coal-fueled plants leading the way (Climate Change Indicators: Greenhouse Gases, 2017). In 2014, the U.S. Energy Information Administration (EIA) announced that 2.04 billion metric tons of carbon dioxide were produced by power plants with seventy-six percent coming from coal-fueled plants. The EIA stated that coal-fueled plants also accounted for thirty-nine percent of the electricity produced in the United States, which electricity was also found to be responsible for thirty-one percent of greenhouse gases. For decades, power plant emissions and the air pollution they produce have gone unregulated. However, the Environmental Protection Agency (EPA) has recently proposed new rules to govern plant emissions and reduce them by thirty percent from 2005 levels by the year 2030 (Brumley, 2013).

Air pollution does not simply just affect our atmosphere. In fact, it can make its way to our waterways such as lakes, rivers, and oceans. Contaminants in the form of nitrogen compounds have made a significant local impact in our Florida waterways. The element nitrogen is better known for assisting in plant growth. As is the case with most circumstances, too much of a good thing can have adverse effects. Too much of the nitrogen compound in our oceans can cause algae blooms or red tide to occur more frequently by clogging the waterways and unsettling the ecosystem’s balance (Air Pollution and Water, n.d.). These events are more common than ever before and are occurring in its toxic form at a staggering rate. Adding to the damage that hazardous waste has done to our waterways, many outdated power plants continue to use a system known as once-through cooling. To execute the system, the plant pulls in large volumes of water, killing any aquatic life caught in the process, and distorts the environment by rapidly returning water to where it came from at a significantly higher temperature. Modern technology involving cooling systems that use less water and are friendlier to aquatic life, such as closed-cycle cooling, are available, but are not mandated to be used (Protect Waterways from Power Plants, 2016).

The EPA has estimated that approximately 250 million tons of residential and commercial waste were disposed of as recently as 2011. Landfills have begun to contaminate communities by degrading the quality of their surrounding environments rendering these locations unattractive to both tourists and residents. Though we rarely see it with our own eyes, landfills contribute to the compromise of our waterways by attacking our natural resources in the form of direct leachate contamination. This is known to be a major environmental and human health hazard. Leachate is a pollutant that is extremely odorous, black or brown in color, and can be found in liquid form. This liquid contains heavy metals including lead and volatile organic compounds known as VOCs. Steps have been taken to calm the threat of leachate contamination, but no process for it has proven to be 100 percent successful (King, 2019). Adding to the ecological threat posed by landfills is stormwater runoff contamination. Landfills tend to cover hundreds of acres of land which means enormous amounts of rain water will run down landfills and collect in their respective storm water basins. These basins stand a great chance of already being contaminated by hazardous wastes, but the major problem arises when these basins are full of rainwater. As they overflow, the contaminated rain water begins to drain into the surrounding environments seeping its way into the groundwater supply (King, 2019).

The Environmental Protection Agency (EPA) is the organization responsible for compliance and enforcement of environmental laws passed by the United States Government. They issue policies and guidance and provide these to the public for the community to follow.

According to the Environmental Protection Agency web portal, when an environmental problem is identified, Congress passes a law addressing this problem. At this point, the EPA sinto play issuing regulations to implement the law. Compliance Assistance provides easy to understand resources through the Compliance Assistance Centers, which are organized by industries. The Compliance Assistance Centers are funded by the EPA. The compliance monitoring is the component in charge of inspections to assess compliance. Enforcement actions are taken when the regulated entity is non-compliant. Some of the most important acts and regulations will be discussed below.

According to the EPA, “The Clean Air Act (CAA) is the comprehensive federal law that regulates air emissions from stationary and mobile sources. Among other things, this law authorizes the EPA to establish National Ambient Air Quality Standards (NAAQS) to protect public health and public welfare and to regulate emissions of hazardous air pollutants.” (Summary of the Clean Air Act/epa.gov)

The main purpose of the Clean Air Act passed in 1970 was to achieve by 1975 the US National Ambient Air Quality Standards (NAAQS) in all states. By 1977, the targeted goal had not been reached and the government decided to amend the act. In 1990, because the specific standards were not met, the act was amended to set new goals because many areas of the country were not close to meeting NAAQS.

The Safe Drinking Water Act passed in 1974 regulates all drinking water and requires cities to keep drinking water at its safest levels. This act allows EPA to establish minimum standards in the quality of water that will potentially be used as drinking water. The city of New York was recently sued due to non-compliance with Safe Drinking Water Act. The city of New York was required to pay $1 million in civil penalties and up to $3 billion are the estimated expenditures due to fix the damage to the water system.

The regulations set by the EPA leave businesses with a lot to consider when major decisions need to be made. Picking the option that makes the most sense financially may not be possible if it were to result in a harmful act to the environment. Businesses today must consider the consequences they could face by disregarding the environment for the sake of their own gains.

This is seen in the case of United States v. Saporito. The United States brought charges against James Saporito and Paul Carr, who were owners of equipment used for an electroplating operation. The charges were brought under the Comprehensive Environmental Response, Compensation and Liability Act, known as CERCLA. The was an act passed in 1980 in order to bring awareness to sites that were threatening the environment due to leaks, spills or any general mismanagement (Hope, 2013). The identified responsible party must then reimburse the costs of remedial action that the United States Government incurs. In this case specifically, the United States sought $1.5 million to cover the clean-up costs of unsafe materials that seeped into the soil and water at the electroplating site. It was the company’s daily procedures that caused splashes, eventually leading to this major issue of leakage to the ground below. Although there may not be any intentional harm intended by these companies, this act ensures that extra precautions are taken. Companies need to take extra steps to ensure that their basic procedures will not lead to any excessive harm to the environment. These extra steps or pieces of equipment needed to meet these regulations can raise productivity costs for businesses too. Businesses must now consider how strict regulations are in different locations and factor this into where and how they decide to operate. Additionally, the regulations can affect the success that a business has with investors. A highly regulated business will not seem as profitable to outsiders since there will be more compliances that they will have to adhere to (Gray 2015).

Most can agree that pollution is an issue that must be resolved, however there is controversy regarding how the government should regulate businesses. Opponents of tight regulations typically believe that they cause the economy to suffer. Some believe that the regulations are worth any potential economic downturn. The key is to find a balance between these two extremes and work toward finding a balance between economic and environmental health.

Traditional economic theory states that environmental regulations cause increased costs when the business has to allocate scarce resources toward compliance. Those resources are then used on compliance instead of research and development. There have been numerous studies that have shown that environmental regulation may not have the negative economic effect on businesses that many have assumed. A case study of the metal finishing industry in Southern California found that increased air quality regulation did not have a detrimental impact on the growth of the industry (Thomas, 2009). The metal finishing industry traditionally has used hexavalent chromium, a chemical that makes metal products durable, shiny, and visually appealing. Unfortunately, when this chemical is processed and worked into the metal, only 20% of the chemical is deposited onto the object and the rest dissipates into the air. Once emitted into the air, it can be inhaled by local residents and become trapped in the lungs. Even at low levels of concentration, this chemical has been shown to cause respiratory irritation, cancer, ulcers, and stomach and kidney problems. There are often residential areas near metal finishing facilities with high populations, so many are put at risk.

In 1977, in order to protect California citizens, the South Coast Air Quality Management District (AQMD) was formed. After further research on hexavalent chromium, scientists from California’s Office of Environmental and Health Hazard Assessment (OEHHA), determined that it was a toxic air contaminant and carcinogen. Exposure, even at trace amounts, was not believed to be safe. Once this was determined, it paved the way for Rule 1169 from the AQMD to be implemented. The metal finishing firms in the area were required to reduce their emissions by 95% to 99%. To adjust to the regulations, metal finishing plants switched to less hazardous materials, improved efficiency in the production process, installed more efficient equipment to reduce waste, redesign products to reduce amount of raw materials used, and installed equipment that captured emissions and controlled pollution. After these processes were implemented, the study compared economic growth of metal finishing plants in Detroit and Chicago with the plants in California. Researchers found that comparing employment growth between the cities was the best way to determine whether or not the regulations had affected economic growth. The comparison indicated that there was no significant difference between the plants (Thomas, 2009).

Dramatic climate changes and growth in environmental consciousness in the last sixty years has pushed governments around the world to act. Going back to England in the 1940s, where combustion engine exhaust and a growing industrial economy were a major contributor to the emergence of smog, acid rain, and other forms of pollutions. With many business finding pollutions as a consequential externality that they bared no responsibility for, people began to look to the government as having an obligation to protect the environment. Governments throughout the world has sought to control certain industries and businesses footprints on the environment. Creating laws and regulations that restrict business from doing certain things such as, dumping waste into our waterways, polluting the air with certain chemicals, and so forth. The environment has been quite the debate in recent decades, but more now as people around the world are starting to feel the repercussion of climate change. There have been many cases settled in court in hopes of diminishing the destruction of the environment, cases such as Sierra Club v. Morton (1972), Massachusetts v. The Environmental Protection Agency (2007), and many more. These two cases changed the perspective on how we humans affect the environment and whether we have a moral responsibility and the right to protect it.

In the case of Sierra Club v. Morton of 1972, a valley in the Sequoia National Forest was up for a bid to be converted into recreational development. In the end, Walt Disney won the bid and started the exploring the valley in hope of creating a ski resort. In hopes of hindering the development of the land the Sierra Club filed preliminary and permanent injunctions against federal officials to thwart Walt Disney’s access to permits granting the development of the valley (Oyez, 2019). Sequentially, the U.S. Court of Appeals for the Ninth Circuit overturned the injunctions based on the facts that, under the Administrative Procedure Act (APA), Sierra Club had not procured evidence to show that any of its members had or would endure injuries as a result of the defendant’s actions. (Oyez, 2019). Ultimately, Sierra Club had no grounds to sue Disney. Under the National Environmental Policy Act (NEPA) of 1969, Walt Disney was required to assure proper assessments that their actions would not in any way have a great impact on the environment. NEPA was one of the first laws ever written that establishes the broad national framework for protecting our environment. NEPA’s basic policy is to assure that all branches of government give proper consideration to the environment prior to undertaking any major federal action that significantly affects the environment.(EPA, 2018) With many institutions like Sierra Club coming out into the defense of the environment, business began to take notice that their everyday customers do in some way care where the products they buy come from.

In Massachusetts v. The Environmental Protection Agency (EPA) the government took on another role in protecting the environment. The effects of greenhouse gasses on the climate are real and dangerous. In majority, the science community are all in consensus that carbon emission has an adverse impact on the environment. In Massachusetts v. The Environmental Protection Agency, several states petitioned the EPA that it was its job to regulate emission of carbon dioxide and other gases that contributed to global warming from new motor vehicles. (Oyez, 2019) The EPA contested and the denied that it was it was not in their responsibility to regulate harmful gases from vehicles. They also stated that research did not exist to clearly support the fact that these gases were essentially harmful to the environment. The case reached the Supreme Court, which ruled in favor of the States due to the State’s stake in protecting its quasi-sovereign interest (Oyez, 2019).

Today, many countries are trying to strike a balance between their economic development goals and environmental protection. It is clear that, from the president of the company to the last worker, and from the president of the government to any citizen, we are all consumers with certain habits of behavior, and on us lays largely the responsibility of contributing to the search for solutions. In fact, often a product is not bad in and of itself, but is the use we make of that product. It is not necessary to mention the state of our beaches or forests, the elimination of domestic waste in urban centers or the noise index in the cities, because much of them have already been written about and we all agree on the regret. Education in environmental matters, which generates behavioral habits and raises the levels of demand, is something necessary if we really want to face the problem successfully. Concisely, we are facing a very concerning situation at the global level and where the only way to take effective measures is through the active participation of all the agents at the same time: government, businesses, and workers.

Many companies are limited to adapting to the regulations related to the environment to avoid sanctions for their activity, but this is not enough. They must go beyond what the legislation says and assume from the company that individual commitment related to the care and respect of the environment in which they operate. It is a responsible company culture, which must reach all workers.

During the last few years, various agreements have been signed that have obligated the authorities to develop initiatives to promote care for the environment. Although for many people these regulations may be harmful to the economy, some studies have shown otherwise.

Did you like this example?

Cite this page

Air Quality and Climate Change. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Witchcraft and its Evolution into Modern Times

As anthropologist studying the culture of witchcraft and its evolution into modern times, I would first attempt to describe and define the cultural representation of witchcraft and the difference between the common misconceptions. I would then begin to look at the history and evolution of witchcraft over time, assessing the period in which the religion was almost wiped out completely, and how that has led to a modern version of the faith and the culture that it created; alluding to works of literature and media interpretations that have influenced misconceptions of the religion.

Society has a fixed idea of witchcraft: women on broomsticks, with black cats, face warts, and book of spells to cast. This stereotype is a result of media and literature portrayals of witches, or those who study a similar faith. In modern times, Paganism is seen as an umbrella faith, where witchcraft and wicca falls under that denomination, with their own varying beliefs. This can be anagalogied to Christianity and its subcategories like Catholicism and Protestantism. They have common principles and ritual, with individual twists and additions. In these modern times, Paganism is seen as a spirituality, where followers practice the faith, but there are some who consider themselves witches, separate from the pagan beliefs. These people practice the forms of magic as a skill set rather than a religion, being considered more of an eclectic witch, where they do not fall in a pagan denomination nor do they have any connection to the traditional faith; Rather, they interpret more from the folklore and literature representation of witchcraft and choose to practice that kind of skill set or even faith. Many of these witchcraft followers are practicing a portion the faith that instilled fear throughout history of witches, causing the persecution and deaths of many women.

Throughout history, witches were seen as women who did practice a faith for the common good, where their beliefs and rituals were deemed threatening to others. During these times many forms of torture devices were created to identify witches and get them to confess their crimes, where they were then punished, usually by death. In England, the first statue against witchcraft was in 1542, decreed by Henry VIII, the second by Elizabeth I in 1563, where those convicted of sorcery would receive the death penalty. The third statute was declared by James I, who feared witches and blamed them for the storm that almost sank his ship, while his wife and him were aboard. James I authorized the publication of the first copies of the Bible in english, where part of the Bible that was translated into english, was then reinterpretted and changed to say "thou shalt not suffer a witch to live" and this was by royal decree. He continued to write his own book on witchcraft, titling it Demonology. This began to instill fear throughout Europe, where the mainlands had the most witch trials, hunts, and torture. Towns appointed inquisitors to torture witches and persecute them by burning at the stake. The possibility of being accused by neighbors and enemies, created paranoia and chaos within towns. In Germany, there were many occasions where the female population was almost wiped out. In England, over time there has been a misconception of witches being burned at the stake. However, witches sent to trial and convicted were hanged not burned, because they were not punished for being heretics, they were punished for the harm and death against other humans and animals as a result of witchcraft. Another misconception was the use of ducking, where a woman was publicly humiliated and in some cases drowned as a result, but this was not a form of witch torture or had any correlation to the witch hunts. The similar form of witch trial was called swimming, where the suspected woman was tied to a rope and dropped into a pond or river, to see whether she would float or sink. Floating meant that she was being rejected by the water, an element of baptism, and she was deemed an alleged witch and if she sank she was probably innocent. This was not seen as a formal conviction punishment, and in either case, she would still be reported to a magistrate and sent to trial in front of a judge and jury in a court of law.

The most notable witch hunter was Matthew Hopkins, who started his witch hunting in Manningtree, Essex, in 1644. He believed that the dark arts were being practiced near his home, and accused 23 women of being witches. Of those 23 women, 4 died prison while the other 19 were convicted and hanged for their crimes. This sparked his crusade, being named the Witch-Finder General in 1645, where he claimed to be appointed by Parliament, and set out to prosecute witches. Over the next two years, Hopkins has over hundred people executed for witchcraft across the eastern countries of England. However, he did have trouble rooting out the witches and had many forms of torture to get confessions out of people, but in the court law, only a fraction of the women accused were convicted. The main drive of Hopkins is a mystery to many researchers and we may never know his true intentions. Even the death of Hopkins is widely discussed and there are multiple versions of what happened to him. Some say he died of tuberculosis, others say he was convicted of witchcraft himself by his own means of swimming and sentenced to death. There is also a theory that he fled to America, where the Salem witch trials took place, and although it was some 50 years later, speculators believe he could have had an influence on the trials.

The Salem witch trials began in 1692, in Salem, Massachusetts, when a group of young girls claimed to have been possessed and starting accusing others of witchcraft. There were 19 people accused, all of them were sentenced to death by hanging. A dramatized interpretation of the Salem witch trials was turned into a playwright by Arthur Miller in 1953. This is to be seen as a drama and interpretation of the events, not a historical and factual representation. Another impact on history was the persecution of Joan of Arc, a french patriot and later denoted a saint of the roman catholic church. She was a threat to the church and state, and because she believed she could hear voices from God, and she was from Don Ramey, where there was a history of witches and witchcraft, she was tried and convicted of heresy, then burned at the stake, dying at the age of 19.

Did you like this example?

Cite this page

Witchcraft and Its Evolution Into Modern Times. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay

Environmental Protection Agency and their Role against Climate Change

Introduction:

There is no question whether or not the environment is changing on a global scale. This topic is the focal point of many environmentalists’ research and continues to spread through media giving everyone the opportunity to think about their own contributions to these changes. Everyone has an understanding of the types of impacts large corporations make towards climate change. There are some who do not believe that human activity could cause the greater portion of the impact on the environment. Beginning in the late months of 1970, the Environmental Protection Agency was created in order to help minimize the contributions and overall effects that human beings may impose on the earth. The EPA strives for an improved environment as well as the health and well-being of humans. The government thought that creating an authority figure should help deter businesses and individuals who may partake in practices that can cause an increase in pollutants around the world. Most companies try and comply with the rules and regulations of the EPA but some of them try to get away with spending less on their pollution control methods.

These offenders are often fined a large sum of money and can even serve prison sentences for their lack of compliance with the regulations. The large companies that can afford to make the necessary changes that we would expect to follow the rules and regulations understand that they run a risk of being detected by the EPA for their higher than allowed amounts of pollutants. Considering the rate of climate change continues to rise, is there a real deterrence factor from the EPA? The reason this is so important today is because climate change is affecting every living thing on earth, not just humans but ocean life as well. Working in the environmental field has educated me that the earth is more polluted than the average person may know. There have been days where I’ve seen soil, water, and air pollution all in the same day on the same job site. Drilling and testing soils has brought the intention of regulations and standards that all builders and property owners need to abide by. Studying environmental science and geographic courses while obtaining my degree have brought me to an even more conclusive period where I am certain there are things that I can do in order to help other people become aware of what is happening to our planet. If more people were aware of these rules and regulations would we see a steadier decline in the rate of climate change? Are the companies who do not comply with regulations aware of their responsibilities? It has become fairly obvious that many people are unaware of who the EPA is and what they do, if the everyday population are not aware of these laws and regulations then how can we diminish the more insignificant portion of pollution from the average person.

Hypothesis:

There are many laws in place today that contribute to the movement against pollution and waste that would lead to an unhealthy environment for humans. There are many people in the United States that continuously contribute to polluting the earth, whether they are aware of the impact they are causing or not. If the everyday citizen were more educated about things such as the clean water and clean air regulations that the EPA enforces the amount of infractions against the rules and regulations should go down. Should the EPA offer mandatory sessions for colleges, businesses, environmental companies, and even local law enforcement. Contributing to the deterrence factor for going against these laws, the EPA Increasing the overall presence of environmental protection in the United States will lead to a more sustainable climate. Creating a system to educate more people about the potential threats to the environment as well as the legal responsibilities of the EPA should be able to have a significant impact on the rate of climate change.

Variables:

There are multiple variables that were considered when conducting this research, education is only as valuable as an individual wants it to be. Some people understand the rules and regulations that they need to abide by and still decide to weigh their options and not comply. Big and some small businesses would rather risk the event of getting caught rather than lower their income margins. These corporations are not considered about whether or not they are helping the planet become more sustainable, they are only focused on making more money each year. Speaking on an individual level, the rest of society should be educated about what the EPA is and what it is that they do, with that said it is possible that some people would disregard the information and continue doing what they have always done. According to Daniel Riesel, the law enforcement portion of the EPA is distributed through extensive research with intent to give each case to the suitable office in order to carry on with enforcing a civil or criminal law suit. Depending on which office the case is handled by often determines whether or not the case is seen through. Often times when the EPA cannot handle an infraction or is having a difficult time with filing one, they may request that the case be handled by the Department of Justice. (Lebel,2018) For the actual enforcement of the rules and regulations the type of charges or even completion of filing an infraction can become lost or incomplete in a result of a mishandling of information. This may have a detrimental effect on the way penalties and other sentences are seen by those who are not deterred from committing acts against the EPA.

Literature Review:

Early Research:

“The precautionary principle ensures that a substance or activity posing a threat to the environment is prevented from adversely affecting the environment, even if there is no conclusive scientific proof linking that particular substance or activity to environmental damage.”(Cameron,1991) When a substance or activity is seen as having a negative impact on the environment, reasoning and tests are done to provide a suitable standard or restrictions to lower the rate of impact of said activities or substances. The EPA is often doing research to find what else may cause harm to the us or the planet. Once they find something new that hasn’t been discovered to be an environmental threat, the media usually spreads word of act or substance and it becomes a trend to not use those substances. There are many people in the last month who have stopped using plastic straws because they harm sea turtles and other marine life. Something like a photo showing how bad the product is for other life in today’s society can increase the number of people who comply with precaution.

Other early research that was conducted about law enforcement and it discusses the use of warnings and how they may not deter people away from committing violations. The article was written about how offenders of the Animal Welfare Association who were given a written warning still did not comply with the laws and regulations. “This Article reveals a serious enforcement failure. Given the prevalence of warnings as an enforcement tool across administrative agencies, and the paucity of information about their effectiveness, it is likely that similar failures are occurring in a host of other contexts.” (Winders,2000) The amount of warnings given out by the EPA in a single year are all violations that they could have enforced more strictly. If the EPA was serious enough to become an agency, then they should enforce it with using little to no warnings. If a business or an individual is partaking in an act that goes against the EPA and was truly not knowledgeable about the laws than it all relays back to the education of others in an effort to reduce the amount of infractions. Today warnings are still seen when dealing with traffic violations, most people who receive a warning for speeding may only reduce their speed for a few minutes until they are away from the officer who pulled them over.

A main contribution in the efforts of educating the population on what environmental threats are out there, enforcing the laws on multiple levels from local to global are an important part of expressing not only information but the severity of the offense. The more people who are caught in the act should be prosecuted against and made aware that their actions were not compliant with rules and regulations of the EPA. Research conducted on enforcing environmental laws on each level of territory is critical in understanding the ways the EPA can inform others on their rules and regulations. (Tomkins,2005) Police officers who may not work for the EPA should be aware that these types of offenses need to be reported or enforced through themselves as well. These actions can be seen as something simple like enforcing no littering laws on highways and other public roadways. Signs are posted with an amount for a fine that one would have to pay if they were to throw garbage outside of their windows while driving. The signs are there to educate people on the rules, but garbage and sometimes large furniture items can still be seen on the side of these roads. If nobody is patrolling the highway searching for these violations than often times they can be overlooked by both civilian and patrolman.

 

During a 2007 court case of Massachusetts v. EPA the court was to discuss “whether EPA has authority to regulate, and (under certain conditions) must decide whether to regulate, greenhouse gas emissions from tailpipes in the United States’ new automobile fleet. “(Freeman, 2007). What had happened in the case was multiple states wanted the EPA to be powerful enough to create or amend laws pertaining to the regulating the pollution of harmful greenhouse gasses. This case was a large win for the environmental movement, it will be seen as one of the turning points in the combat against climate change. This is important because with the EPA gaining the ability to regulate such pollutants, they can know help raise awareness of these pollutants and the ways people can help eradicate the overall effects they may have on the planet.

Latest Research:

Many businesses and corporations have recently failed to comply with regulations regarding the use of natural sources as well as the output of pollutants. The Department of Justice would allow them to do a supplementary environmental project in order to make up for the harm caused. “In January 2018, the DOJ's Environment and Natural Resources Division issued a memorandum that essentially prohibits the use of supplemental environmental projects (i.e., projects that benefit the environment in exchange for mitigation of the penalty for failure to comply with an environmental law) in settlements of federal claims or charges.” (LeBel,2018) This was a major change in the way the EPA and DOJ use their powers to punish those who have broken the laws against the environment. There would now be no other way of supplementing a fine or any other sentence imposed by the DOJ or the EPA and the person who committed the act will most likely feel more remorse for the environmental problems that they may have caused. This is also an issue because instead of doing other projects to help the environment businesses can now just pay the fine and not repay the earth for the damage they have done. In todays’ society social media as well as other forms of media will publicly shame a business if they are caught doing something against the environment.

The business will feel the pressure and negative stigma in order to partake in a public attempt to do something good for the environment in hopes to clear their name and regain their status with the rest of society. Reforming these laws are important when attempting to help lower the rate of infraction. When new studies are done, and environmentalist find out that an event or substance is having an even bigger impact than they originally thought. “At various points, potentially challenging issues of law and policy are identified, and different imaginable paths are specified. The various reforms show the extraordinary extent to which the executive branch, relying on pre-existing regulatory authorities, can reorient national policy in an area in which the national legislature is blocked. “(Sunstein, 2017) During the Obama administration these types of changes were seen fairly often, amending these laws are important when new information is available to the EPA about the rate at which an impact is occurring.

Method:

Research conducted on the immediate affects that education and knowledge of the EPA has on the overall climate change has not yet been done or I was unable to acquire that information. Based on other research discussing the EPA and how they interact with offenders has given me a more in-depth analysis about whether or not people would obey the rules or if they would continuously break them. The research conducted previously was about more of the law enforcement side of the EPA and what authorities they may have. The ways that they interact and hold people accountable for their actions is a good way at determining whether or not people knew that they were in fact breaking the law. The way the EPA discovers new environmental threats and recognizes its place in society is a very important process, it is what changes our everyday lives and the products we use. Looking into some of the Acts that the EPA has set in place like the Clean Water Act and the Clean Air Act, there are businesses who understand these laws and are often monitored by the EPA. These businesses can either abide by the regulations or add new technology in order to lower the rate but in attempts to increase or keep profit margins relatively the same they do not change their pollution rate. The research helped me format my paper in a way where it may be educational to the audience, as it is important to understand what the EPA is and what their mission is.

Findings:

There are many variables when it comes to educating someone about any topic. Some people can listen and digest information better than others, some people can care or tend not to care about a topic, and some people already know the information but continue to disregard it. Educating children on the earth and how human interaction Is causing a disturbance in nature is a good start to teaching a better, more sustainable way of life. When discussing the EPA and the role they play in controlling these human interactions with the earth is a more in depth and interesting topic. Most people understand the precautionary things we must do in order to help protect what we have, but most people are not sure about what they can do in order to have a greater positive impact. Learning about the environmental policies the EPA enforces and the methods they use to carry out the policies may not be as beneficial as anticipated. These laws and regulations were created by the EPA with the intent to stop all potential threats to the environment in order to increase the quality of life for all beings on earth. The fact that large corporations are not following these rules and regulations makes it difficult to project that more people would follow the rules if they were educated on them. The education can be learned by other people, but what they tend to do with that knowledge is up to the individual, but with that said, the EPA would be creating a more understanding and educated society. The research conducted for this paper was extremely informative about each aspect of the EPA and their way of creating and enforcing these laws.

Conclusion

The efforts of the EPA in regulating certain pollutants from increasing the rate of climate change are working to an extent. Increasing the overall presence of the Environmental Protection Agency would help raise awareness for not only what threats are causing harm to the planet but it will also make people understand that the rules and regulations are laws and can impose a punishment on those who break them. There are many things the EPA does and can do for the environment that most people are not educated about. With the United States being a consumer state where everything is manufactured or processed there are a lot of threats that even the smallest of things can impose on the environment. The EPA needs to make itself more evident in today’s society by reaching a broader audience when discussing environmental laws and policies. Environmental law enforcement as a whole need to become more incline with the community they are in and become more sociable with the people and businesses that reside in those communities.

Did you like this example?

Cite this page

Environmental Protection Agency and Their Role Against Climate Change. (2021, Apr 10). Retrieved November 4, 2025 , from
https://studydriver.com/2021/04/page/6/

Save time with Studydriver!

Get in touch with our top writers for a non-plagiarized essays written to satisfy your needs

Get custom essay
Stop wasting your time searching for samples!
You can find a skilled professional who can write any paper for you.
Get unique paper