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Monday, September 30, 2019

Howard Street Jewelers Case Study Essay

1. The Levis overlooked several internal control concepts that could have prevented Betty’s embezzlement from the company. †¢ Segregation of duties: Betty had responsibilities in too many areas. She maintained the cash, the cash receipts, and the sales records for Howard Street Jewelers. This not only provided Betty with plenty of opportunity, but also gave her the means to conceal the theft. †¢ Authorization of transactions: Betty was able to put items on layaway without authorization from management. †¢ Physical controls: Cash should have been reconciled by management and cash shortages noted by management. The fact that the Levis were unaware of cash shortages indicates that there were poor physical controls when it came to cash counts. 2. In the first circumstance, in which the CPA was simply involved with the company’s tax returns, the CPA does not have any responsibility to pursue the matter as the CPA was not auditing the client. However, the cash shortages should have been brought to the owner’s attention as soon as they were noticed. A working relationship between an entity and the CPA is one of mutual trust and there would have been no harm in informing the owners that cash shortages were occurring. In the second circumstance, in which the CPA was responsible for auditing and compiling the company’s financial statements, the CPA would have to practice due diligence and investigate and gather evidence that fraud was occurring. If this was the case, then Betty would have been discovered before her fraud equaled 350,000 dollars. 3. In order to be successful at implementing internal controls, the Trubeys need an organizational structure and a control environment. I would recommend that they establish core values that they want practiced within their business and a way that those values can be communicated to the staff daily. For instance, during training, they can review those ethical values and implement a way to recognize those that practice those values at least once a month. This creates an understanding amongst staff that the company places a high value on ethics. The key internal control issues that the Trubeys will face while owning a jewelry store are physical controls, segregation of duties, and authorizations. The five control activities that I would recommend based on these issues are outlined and explained below: †¢ Duties should be shared amongst staff. Placing cashiers on an alternating schedule between selling and cashiering splits the responsibilities and  provides each staff member wit h the ability to assess the work of the others. This practice can reduce the opportunity for cash theft as it cannot be easily concealed. Even though Myrna would be head salesclerk as an owner of the business, she should also welcome staff to review her work to enforce a system of integrity. †¢ Transaction authorization should be required for any transaction over a certain amount deemed high risk by management. An example of this would be one sales clerk and one manager must sign the sales record to indicate that not only the sale occurred but that it was recorded appropriately. Returns should be authorized by a member of management as well. †¢ Cash should be controlled on a daily basis. A good system for this is to audit the register at the end of each employee’s shift. Any point of sale system will indicate the amount that is supposed to be in the register at the time of audit. The owners should establish a policy of rewarding cash counts that are exact, and reprimands for cash shortages or overages in excess of twenty dollars. This also eliminates the guesswork of who is responsible for any cash shortage and lets the employees know that their accuracy will be checked by a member of management. †¢ Deposits should be reconciled by a member of management. All deposits should require two signatures verifying the accuracy of the deposit total and that it was deposited to the bank. When verifying the deposit receipts, all figures should match what was recorded, including the date. †¢ There should be physical security for inventory items. In the case of a jewelry store, where inventory is highly priced, it should be locked away with keys and key control should be implemented. Other physical security items would include security cameras and physical inventory counts twice a year. These five internal control activities, if implemented, will give the Trubeys the opportunity to excel in their business. ​

Sunday, September 29, 2019

Electrical Substation

1. INTRODUCTION Electrical substation for distribution system is the main supply to convert the high voltage (HV) to low voltage (LV) and the place where load are distributed to the consumers. In Malaysia, Tenaga Nasional Berhad Distribution (TNBD) used the 33/0. 433kV, 22/0. 433kV, 11/0. 433kV and 6. 6/0. 433kV voltage system for the electrical system to supply for domestic consumer and industrial consumer such as factory which will supplied directly from Transmission Main Intakes (PMU), Main Distribution Sub –station (PPU) or Main Switch Sub – station (SSU).Electrical substation is the place where all electrical equipments such as high voltage switching, three phase transformer, high voltage cables, low voltage cables, low voltage feeder pillar, battery charging and etc which are used for electrical supplying in power system and to make sure the safety of the system by the protection scheme. Basically, electrical system have one or several in coming and out going circ uit which are controlled by high voltage switching and meet in one or more in the same of busbar system.Generally, electrical substation is a point in distribution system where: * A place where several electrical equipments are installed and used for electrical energy in power system. * A place where the safety of the system is provides by automatically protection scheme. * A place where one or several incoming and outgoing circuit are met at one or more busbar system and controlled by high voltage switching equipment which is used for switching. * A place where voltage value is changed and controlled. A place where load are distributed, controlled and protected FUNCTIONS OF A SUBSTATION * Supply of required electrical power. * Maximum possible coverage of the supply network. * Maximum security of supply. * Shortest possible fault-duration. * Optimum efficiency of plants and the network. 2. OPERATION OF 11 kV MODULAR POWER PLAN LAB Electric power is normally generated at 11-25kV in a power station. To transmit over long distances, it is then stepped-up to 400kV, 220kV or 132kV as necessary. Power is carried through a transmission network of high voltage lines.Usually, these lines run into hundreds of kilometres and deliver the power into a common power pool called the grid. The grid is connected to load centres (cities) through a sub-transmission network of normally 33kV (or sometimes 66kV) lines. These lines terminate into a 33kV (or 66kV) substation, where the voltage is stepped-down to 11kV for power distribution to load points through a distribution network of lines at 11kV and lower. The stepped-down voltage of 11kV is channelled to the RMU(Ring Main Unit) and outgoing feeder of the substation.This is to ensure the continous supply of electricity even during maintenance. The RMU unit is speacially designed that during maintence the affected users will receive supply from a different substation which is interconnected. This is because maintenance have to b e carried out in an ON condition. 3. BLOCK DIAGRAM OF 11kV MODULAR POWER PLAN 4. FUNCTIONS AND MAINTAINENCE OF ALL EQUIPMENTS 5. 1 Switch gear/ circuit breaker In an  electric power system,  switchgear  is the combination of electrical disconnect switches,  fuses  or  circuit breakers  used to control, protect and isolate electrical equipment.Switchgear is used both to de-energize equipment to allow work to be done and to clear  faults  downstream. This type of equipment is important because it is directly linked to the reliability of the  electricity supply. Typically, the switchgear in  substations  is located on both the high voltage and the low voltage side of large power  transformers. The switchgear on the low voltage side of the transformers may be located in a building, with medium-voltage circuit breakers for distribution circuits, along with metering, control, and protection equipment.For industrial applications, a  transformer  and switchgear line-up may be combined in one housing, called a unitized  substation  or USS. Types of circuit breakers: I. Oil Oil circuit breakers rely upon vaporization of some of the oil to blast a jet of oil through the arc. II. Gas Gas (SF6) circuit breakers sometimes stretch the arc using a magnetic field, and then rely upon the dielectric strength of the SF6  to quench the stretched arc. III. Vacuum Vacuum circuit breakers have minimal arcing (as there is nothing to ionize other than the contact material), so the arc quenches when it is stretched to a very small amount (

Saturday, September 28, 2019

Ethics Program Essay

The success of Company X is largely determined by the ethical actions and integrity of the employees that support Company X. We are committed to providing education and dialog to promptly address ethical questions or concerns raised by an employee. Managers should encourage discussion amongst employees especially regarding ethics. Ethics dialog should become integrated into a normal work day to keep ethics fresh on everyone’s minds and allow for manager and peer coaching. Ethical dilemmas can occur at any level of business and all employees should be able to make a decision that properly reflects the values and integrity of Company X. We must strive that every action at Company X promotes credibility and builds trust both internally and externally to the company. Respect for Others We all deserve to work in an environment that encourages employee growth and collaboration. Company X is an equal opportunity employer and is fully committed to providing a workplace that is free of discrimination or harassment of any type. The law is very clear regarding this matter and Company X will not tolerate discrimination against another person that includes, but is not limited to, race, sex, age, religious affiliation, national origin, disabilities, or any other class that is offered protection by federal, state or local laws. In addition, harassment of any nature will not be tolerated. Harassment in the work place can take many forms that can include, but is not limited to, unwanted sexual advances, derogatory statements or jokes, lewd emails, unwanted touching, and leering at someone are a few examples of actions that could be considered harassment. It is important to remember what may seem acceptable to you may make someone else feel uncomfortable. A diverse base of cultures, ethnicities, religion and values is at the foundation of America and it should be expected in the work place. You must be contentious of how your actions translate across different cultures and how your actions may be perceived, regardless of intent. Anything that creates a hostile or offensive work environment is unacceptable and will be addressed by management. Any employee who feels discriminated or harassed against should immediately report the incident to his or her manager or human resources. Open Door Policy Company X has an Open Door Policy; this means that everyone should feel comfortable speaking his or her mind, particularly regarding ethics concerns, without fear of reprisal or intimidation. Managers have a responsibility to create a supportive environment where employees feel comfortable discussing any concern or questions that they may have. Company X will only truly benefit when employees feel like that can take any concern they may have to management to prevent a mistake or wrong doing by asking the right question at the right time. Under no circumstance will Company X tolerate retaliation or intimidation against an employee who report instances of questionable or unethical behavior in good faith. All claims will be fully investigated by Human Resources. Any employee who makes a false claim, with malicious intent will face disciplinary actions, up to and including termination. Some actions that could be brought forward in good faith include, but are not limited to, lodging an internal complaint, filing complaint with external agency, unethical practices, requesting accommodations in accordance with ADA Act, refusing to follow unlawful orders, or filing workers compensation claim. Employees are encouraged to address any concerns they may have with their direct manager, ethical or otherwise. In the event the employee does not feel comfortable addressing the concern with his or her direct manager or the direct manager is culpable or unresponsive regarding the ethics violation or other issue, the employee is encouraged to report the incident to the Director of Human Resources. All issues of this nature will be kept confidential unless information must be shared due to legal action. Safety Company X is committed to providing and maintaining a safe workplace. Your safety and the safety of others should take precedence over anything else. All employees are required to comply with all of Company X’s safety rules and guidelines as well as any federal, state and local laws. Each employee is responsible to provide a safe work area for themselves and coworkers by maintaining an organized work area that is free from potential hazards. If there is ever any doubt regarding safety then you should immediately stop and notify manager. If there is ever a doubt about how to safely perform a task, then immediately stop and notify manager. No employee should ever be put in a situation or put others in a situation where they fear for their safety or the safety of anyone else. Any additional measures that could be taken to further increase the safety of an employee should be taken. Any unsafe working conditions or procedures must be immediately reported to your manager. In the event of an injury, regardless of severity, it must be reported immediately to your manager and Human Resources. There is nothing more important at Company X than the safety of our employees. There should never be a situation where an employee is put in an unsafe situation nor should an employee fear reprisal for reporting an unsafe condition. Employees should address safety concerns with direct managers; in the event that the direct manager is unresponsive then the employee must take safety concern to Director of Human Resources. No work is to occur until any safety concern is appropriately addressed. Conflicts of Interests  Employees at Company X must avoid any relationship or activity that might affect our judgment regarding business decisions. We may be faced with a situation where the decision we make to benefit Company X may conflict with our own interests. Opposing, we may be in a situation where a course of action benefits you personally, but may be may not be in the best interest of Company X. As an employee of Company X we must strive to advance the interests of Company X at every opportunity to do so, regardless of personal interests or conflicts. Property, information or position obtained while at Company X should only be used for the benefit of Company X and must never be used for the personal gain or you, your friends or family. Listed are some conflicts of interests intended to illustrate potential conflicts between Company X’s interests and your personal interests. This list is not exhaustive and should be used as a reference:  ·Being employed a competitor or potential competitor, supplier, or customer, regardless of the nature of the employment, while you are employed with Company X. Hiring or supervising family members or friends.  ·Owning or having a substantial interest in a competitor, supplier or customer.  ·Placing company business with a firm owned or controlled by a Company X employee or his or her family.  ·Accepting gifts, discounts, favors or services from a customer/potential customer, competitor or supplier, unless equally available to all Company X employees. It is not always easy to determine if a conflict of interests exists or not. It is always best to seek advice from management and Human Resources when there is any doubt. There is no violation for getting another opinion, so if there is any question at all, you are strongly encouraged to get as many valid opinions as possible. Another area that may present a conflict of interest or position of favor includes business courtesies. Business courtesies include gifts, gratuities, meals, refreshments, entertainment or other benefits from persons or companies with whom Company X does or may do business. We are committed to fair competition in the market through innovative products and solid business integrity. Any action that creates a perception of favorable treatment towards vendors or clients in exchange for business courtesies should be avoided. Company X does not support accepting or giving business courtesies that could constitute unfair business practices, violation of laws, or brings embarrassment to Company X. It should be expected to offer or accept occasional meals, refreshments, entertainment and similar business courtesies as part of standard business practices. Some general guidelines regarding what would be considered appropriate and what would be inappropriate are provided.

Friday, September 27, 2019

Skateboarding in the Middle East Research Paper Example | Topics and Well Written Essays - 250 words

Skateboarding in the Middle East - Research Paper Example Skateboarding does not have to be confined in urban spaces as Wanner believes. Skateboarding represents creative play that it is universally appreciated by children and adults alike all over the world. It area of play is not only â€Å"Where there is an asphalt space of sprawl† but also in the asphalts and deserts of Middle East. In fact, skateboarding may be more beneficial and may be more appreciated in the Middle East than in the urban centers of California because many children are scathe by war in those regions whose growth and development is interrupted by war. Skateboarding, being creative and playful as it is, has a big place among those children in the war torn countries in the Middle East to at least provide them with the coping mechanism with the terror of war they are exposed of. The extent, fierceness and length of war in the Middle East that had exposed countless of children that leaves one to wonder not only on the depth of the scathe that war had left on the children but also on the interruption of their development. Play according to Smilansky and Shefatya, play is essential to children’s social competence and maturity (cited in Jalongo, 2014). Play could also be a very good antidote to extremism because it undermines the very foundation of extremism which is intolerance. Play according to Smilansky and Shefatya let children experience other’s â€Å"points of view by working through conflicts about space, materials, or rules positively† (cited Jalongo, 2014). Through seeing and experiencing other people’s perspectives, children learns to become tolerant and more resistant to extremist ideologies thereby could reduce if not totally remove extremism in the region. Finally, skateboarding or any other play should be experienced by children. Let children be children to have fun and have a sense of wonder in discovering the world. Play by itself with an atmosphere of laughing children creates a positive society where

Thursday, September 26, 2019

Leadership and Managment Assignment Example | Topics and Well Written Essays - 1750 words

Leadership and Managment - Assignment Example e private sector played have played a major role in the English NHS system.2 The Italian Model of Universalism The Italian model was introduced to cover the shortcomings of the English model especially when it comes to selective coverage. It aimed at focusing on introducing a centralized system of financing to allow the government better control of spending. This model saw the introduction of more decentralized health care service provision and introduction of an internal market. The NHS structure in this model consisted of the national government, the regional level and the local authority level of health care provision. The central government’s major task was to oversee how the regions spend their finances and setting the National Health Fund. The local authorities dealt directly with provision of health care services. The main aim was to reduce interegional disparities inorder to maintain a uniform health structure qithin the entire country. This model was not entirely succ essful as a result of poor motitoring and oversight on the part of the central government. There were also problems with funding and increased unemployment rates therefore people not being able to afford health services. These issues led to passing of new laws that would help bring changes and stability in the health sector. The major aim of the laws was to decentralize financial allocation to the local and intermediary level inorder to better meet the needs of the local citizen. This was argued because the local authority would for example better understand the needs of the society as compared to how the central government would.3 Effective Health care governance Health care governance is the process and srtucture needed to ensure better high quality provision of health care services. For... This paper approves that free communication flow using the bottom up and down bottom approach through provision of accessible information sources is among the key strategies that should be adopted by any healthcare organization. This will ensure free feedback from clients, and to enable the staff or colleagues to understand the organization’s policies, goals and objectives in order to be more motivated and enthusiastic towards better provision of services to the public. Focus should be put on transparency of activities to both stakeholders and colleagues. Transparency in communication also helps in giving the staff a clear picture of their tasks and the subsequent outcome. This in turn helps to build their morale and motivation to put more effort to their tasks. Transparent communication makes the staff feel part of the organization or have a sense of ownership. This essay makes a conclusion that application of leadership patterns can be in any organization that has its goals of success merged with the objectives of profit maximization. Managers in a medium sized organization can apply the remarkable pattern of leadership while doing away with the toxic pattern that could result in the firm’s failure and eventual pull out of the industry. Remarkable leadership could be applied by the human resource manager in the organization acting as a coach and training other managers in other departments to act as role models for their followers. The human resource manager can still establish interpersonal relationships with all employees and other manager.

E-government Essay Example | Topics and Well Written Essays - 12000 words

E-government - Essay Example There was a revolution in the waiting to happen and it is only with the passage of time that everyone concerned with the governmental departments will understand the true potential and advantages of implementing the E-government initiative. Surely the times have changed – for the better. (Moulder, 2001) E-government is the short form of electronic government, also known as the ‘e-gov’ and has a number of other names in digital government, online government and even transformational government. (Riley, 2003) E-government discusses the manner in which government makes use of the exchange of information and services that are pertinent with regards to the citizens, individual businesses, and other governmental agencies to name a few. (Welch, 2005) E-government thus takes care of information and communications technology, which in this paper we will call as ICT. All these processes are carried out to ensure that there is improvement within the processes, efficiency is achieved, public services are better managed and delivered and there are plenty of tasks that are done in the right manner as far as processes of democratic governance is concerned. Thus to add to the same discussion, we see that the E-governments encompass a number of different models including the Government to Citizen, also known as the Government to Customer, Government to Business and lastly Government to Government. However to coin the most significant of these activities that E-government does in the related scheme of things, we see that E-government increases efficiency between the tasks, ensures there is convenience all around and there is a better accessibility factor related with the provision of basic public services. Hence the interaction between the private sector and that of the public sector is also improved as a result of the very same. We are ascertaining as to why we are trying to incorporate E-government within the governmental ranks especially when there is

Wednesday, September 25, 2019

Geoengineering Essay Example | Topics and Well Written Essays - 1000 words

Geoengineering - Essay Example Geoengineering technologies that aim to address this issue can be classified into three broad areas (ETC Group, 19-21): 1. Solar radiation management (SRM) technologies: These technologies aim to reduce the effects of greenhouse gases by increasing the radiation of sunlight back into space. Researchers and advocates have suggested various techniques like covering deserts with reflective sheets to deflect sunlight or blocking the sunlight with ‘space shades’. This technology is predicted to divert about 10% of sunlight away from the planet. Researchers have also suggested covering glaciers in the Arctic region with insulating material to reflect sunlight and prevent the melting of ice. Other techniques include painting roofs and road surfaces white so as to reflect the sunlight, using superfine reflective mesh of aluminum between the Earth and sun as ‘space mirrors’ and engineer large-scale changes in water movements in order to provoke cloud formation to ref lect sunlight. These SRM technologies can however cause significant environmental damage, including releasing additional greenhouse gases into the atmosphere. ... 2. Carbon dioxide removal and sequestration: This technology aims to remove CO2 from the atmosphere after it has been released. It involves techniques like adding iron or nitrogen to ocean water to stimulate the growth of phytoplankton in an attempt to promote carbon sequestration in deep sea and developing carbon sucking machines to extract CO2 from the air in solid form so that it can be buried. Other techniques involve controlling the levels of atmospheric CO2 by spreading magnesium iron silicate on farmland or forestland and genetically engineering communities of synthetic microbes and algae to create new forms of carbon ‘sinks’. Implementation of these technologies that intervene in complex ecosystems can however cause unpredictable side effects. Again, the duration and safety of sequestration in land or sea are mostly unknown. Many of these techniques also require land/ocean use changes that can negatively affect the poor and marginalized people. 3. Weather modific ation: This technology does not address the causes or the mechanism of climate change, but aims only to alter its outcomes. This approach involves techniques like cloud seeding by using chemicals like silver iodide to precipitate rain or snow. This technique is already practiced on a large scale in the U.S. and China despite the skepticism about its effectiveness. Another technique attempts to prevent the formation of storms by redirecting or suppressing hurricanes. Since predicting the weather and proving the effectiveness of these interventions are difficult, these technologies may result in some unwelcome and unpredictable side effects. Attempts to produce rainfall in one location can be regarded as rainfall ‘theft’ by residents of another location, especially

Tuesday, September 24, 2019

GEOINT and Europe Essay Example | Topics and Well Written Essays - 500 words

GEOINT and Europe - Essay Example However they were less helpful in the both world wars were easily grounded and conquered, there were several reasons to it, They were shaped in different forms ranging from polygonal to ring shape fortress however never survived and were not able to fulfill the purpose of its existence. One of reasons was its stagnant and motionless own existence as a giant body in itself. Despite its high walls and masonry. Walls were directly exposed to cannon fires, Explosive shells and artillery fires. Although advancements were made and in order to to kill the effect of cannon fires, Steel and concrete forts were introduced, and bunker concept was introduced to avoid the assault by enemies.. however despite all this and thick shielding there were couple of reasons that resulted in the whole scheme being a failure , the advancements in the machinery, the weapons, and later in world war two the use of Tanks meant any target in sight was vulnerable ,and in a way it was exposing yourself directly to the enemy. With fighter plans available, the forts presented a case of sitting duck that was waiting to be shot from above. By 2nd world war nuclear capabilities were achieved that would eliminate and erase whole of city, a fort being a small area. Any fort that had bunkers in it, a counter was created for it.and bunker busters were introduced and implemented on the forts strategy. Bunker busters are especially designed for such materials that are hard in nature .they were highly penetrative. The permanent existence of fort at one point, being a static entity, allowed the enemy to prepare itself and collect and gather all the information that was necessary to attack and launch an assault, therefore forts stood no ground of preventing and standing the enemy’s attack. By 2nd world war, the battles were fought on mobile basis. Any fixed position

Monday, September 23, 2019

UK Employment Law Essay Example | Topics and Well Written Essays - 3000 words

UK Employment Law - Essay Example Under UK employment laws , an employee is one who is working under a contract of employment and the contract may be in writing, or it may be implicit subject to terms and conditions mentioned under the employment contract . Before the enactment of the Industrial Relations Act 1971 and the Employment Protection (consolidation) Act 1978, an employer had unlimited rights to dismiss an employee for any reason or for no reason with few exceptions . However , scenarios have changed a lot after introduction of the abovementioned legislations. Now, if an employer has terminated an employment contract of an employee either under unfair dismissal or under wrongful dismissal, an employee can seek relief under any of the following processes ; a claim can be made under common law for wrongful dismissal , or a claim can be made under ERA (Employment Rights Act) 1996 for unfair dismissal or a claim can be mader under Pt XI for redundancy or Pt II under ERA,1996 . Though , under UK law , an employer is legally entitled to dismiss an employee whenever he wishes and for whatever reasons, provided that he gives due notice in this regard but this right has to be used judiciously and without ulterior intention . If an employer has not conducted an intenral enquiry or not followed correct disciplinary procedures , then , an affected employee may approach the employment tribunal or courts in UK against his unfair or wrongful dismissal. If a person is dismissed unfairly due to his age on the allegation that he is very slow in his work, then, an affected employee may seek protection under s 4 of Equalities Act 2010. Any unfair dismissal due to direct discrimination by an employer will be held illegal under section 13 of the Equalities Act 2010.... o demonstrate incapability of the employee ,i.e., not able to perform the duty as anticipated under section 98(2) (a) of the ERA ; or if there is a misconduct on the part of the employee i.e., like declining to accomplish lawful commands of the employer or availing unauthorised leave without prior permission from the employer under section 98(2) (b) of the ERA; or if the employer is able to demonstrate that dismissal is due to redundancy under section 98(2) (c) of the ERA; or if there is a statutory illegality under section 98(2) (a) of the ERA; or on some other substantial reason under section 98(1) (B) of the ERA5 If a person is dismissed unfairly due to his age on the allegation that he is very slow in his work, then, an affected employee may seek protection under s 4 of Equalities Act 2010. Any unfair dismissal due to direct discrimination by an employer will be held illegal under section 13 of the Equalities Act 2010. Instances of direct discrimination include unfair dismissal o n the basis of the religion (being a Muslim, unfit to work in a bar), gender (being a woman not fit to work for certain types of jobs), and dismissal of an employee due to his old age. The following are the illustrations of unfair dismissal of an employee by an employer. Dismissing an employee as he asked for flexible working time; declining to acknowledge the working time rights by an employee and insisting to avail rest breaks ; dismissing an employee for his involvement in the trade union activity; making an employee to resign by offering the exact notice period ; dimissing an employee for his participation in legal industrial action for more than three months or less ; for providing jury service , requesting time off by an employee ; dismissing an employee for availing adoption leave ,

Sunday, September 22, 2019

Classical Civilisation Essay Example for Free

Classical Civilisation Essay To what extent can we reconstruct the palace civilisation of Mycenae? What does the evidence tell us about their society and how they lived?  This Golden Age, kept alive by Homers poetry, tells the story of an advanced society during a period in history adorned by wealth and legends, believed to have been circa 1450 to 1100 BC. Assembling the limited evidence reveals the art and architecture of the Mycenaean World. The remains of the palaces show evidence of a rich civilisation. The later Greeks referred to this period as a Golden Age when men were bigger and stronger than they are now (Homers Iliad). This is a fascinating era glorified with heroes and victory, which almost three millenniums later, still captures the curiosity of so many. The evidence used to reconstruct this period is questionable. There are archaeological finds, which include the sites and the artefacts. It is difficult to draw accurate conclusions from these due to their age. Then there are literary sources such as Homers Iliad and Odyssey. The problem with using these sources is that many people believe that Homer lived around 700BC, which means the stories he tells will have been greatly adapted to his period. Additionally, others argue that there is little evidence proving that the books are not purely fictional. Architecture and construction proves wealth and culture. Increasingly influenced by Crete, the Mycenaeans began to build palaces of their own. Initially they modelled them on Minoan architecture. This implies that they sailed across the sea. Later they began to develop huge fortifications. Palaces were built throughout Hellas. The most famous Greek palace of the Mycenaean period was found at Mycenae, the city of the legendary Agamemnon who was anax of the expedition against Troy. Others were found in Pylos, Thebes, Athens and Iolkos. They were logically constructed and shared the same features, which proves there was a link between them. They were obviously not isolated from one another. One may assume Mycenae was the main palace and possibly had a primitive infrastructure connecting it to the other sites.  The centre of the palace was a columned porch called a megaron (figure 1). A throne would have also been found on one side. This implies they had a King who held an important role in society. The first floor appeared to have been used for storage and the second floor was where the women lived. The materials used to construct these buildings include stone blocks, mud brick, bonding timber and plaster, which proves the Mycenaeans were a resourceful, organised society. Their building technique is known as corbelling, where each successive row of stones in a wall is laid further out than the previous one below it. The palace of Pylos was the only one not to be fortified by huge walls, one of the main features of Mycenaean palaces. There were three types of citadels: polygonal (various shaped blocks neatly fitted together), ashlar (squared blocks neatly fitted  Cyclopean walls 2 The Lions Gate   together) and finally the famous cyclopean walls (huge, irregular stones yielding massive walls) called so because they were so large that it was believed only a Cyclops could have built them (figure 3). The walls at the palace of Mycenae, where The Lions Gate was uncovered in 1841, are 1100 meters long, protecting the dominating power of the Peloponnese (figure 4).  These massive defences also show that the Mycenaeans felt the need to protect themselves from external threats. Houses were built below the citadel, which implies a close community. They were generally self-sufficient homes with a kitchen, altar and hearth. Their furniture was varied and frequently included a plaster bench, tables, foot-stoles and even bathtubs. Their homes appear to have been comfortable.  More isolated homes were also uncovered in the hills (i.e. Mouriatada, on the west coast). The constructions were smaller and did not use such high quality masonry but did include a megaron and private houses. One may deduce from this that wealth peaked in and around the palaces. Water supplies were an equally important construction to ensure survival and well-being. The palace of Athens had a well, built within the walls, making it accessible, even if they were threatened by a siege.  The cistern built at Mycenae at the end of the 13th century, extended underground beyond the walls, making it more vulnerable (figure 5).  The Mycenaeans learned from the Minoans, in crafts, in efficient organisation and in writing. This is concluded from the similar architecture, tablets and pottery found. The wave of palace destructions on Crete around 1450 and the eventual fall of Knossos around1375 marked the start of the most flourishing period for the Mycenaeans. New pottery shapes and styles began. They produced three handled jars, kraters (large bowls) and kylikes (goblets with long stems). Backgrounds were being painted red or black as opposed to light, matt tones. Forms appeared more natural, like the Minoan art. They began to use floral decorations.  Next, the Mycenaean Age adopted geometric patterns and abstract forms on its pottery. They made stirrup jars, yet another indication of Minoan influence. As the civilisation reached its height, so did the art. Vases were mass-produced for export as well as for use on the main land. Evidence of objects from afar were found at the Palace of Knossos, in Crete, which shows signs of huge wealth, probably due to the position of the island, the cross road of the Mediterranean in circa 1400 BC. The Mycenaeans were equally as good tradesmen as the Minoans. Their pottery was found in Sicily, Rhodes, Cyprus, Italy, Asia Minor, Northern Syria and Miletus, which suggests they were good sailors and traded with the east Mediterranean and Europe. In some places their influence seems so strong that one could think that they had permanent strongholds there, what we may consider today a colonisation. However, they were not able to enter Asia Minor because of the Hittites, described as a strong, troublesome civilisation.

Saturday, September 21, 2019

Geography of the Hoh Rainforest

Geography of the Hoh Rainforest Brian Moody The Hoh Rainforest The Hoh Rainforest is located on the Olympic Peninsula in Northwestern Washington state, USA (Encyclopedia Britannica, 2014). It lies on the west side of Olympic National Park, surrounded by the Olympic National Forest (Encyclopedia Britannica, 2014). The absolute location is between 47-48 degrees North latitude and 123-124.5 degrees West longitude (Broker, 1994). Temperatures within the Hoh Rainforest range from the 20s (Fahrenheit) up to 80 Fahrenheit (USDA, 2014). The temperature ranges fluctuate by season with nighttime winter temperatures reaching the coldest point into the 20s. Winter daytime temperatures hover in the 40s (USDA, 2014). Spring temperatures range from 35-60 Fahrenheit (USDA, 2014). Summer temperatures range from the low 50s at night to daytime temperatures range between 65-80 degrees Fahrenheit (USDA, 2014). Fall temperatures can fluctuate between 35-65 degrees Fahrenheit (USDA, 2014). As the name suggests, the Hoh Rainforest experiences an extensive amount of precipitation. The precipitation can take the form of rain or snow, with the latter typically occurring significantly only at higher elevations (Marietta College, 2014). The Hoh Rainforest experiences 140-170 inches (12-14 feet) of annual precipitation (National Park Service, 2014). Temperature and precipitation in the Hoh Rainforest are influenced primarily by mountains and the Pacific Ocean (National Park Service, 2011). While not a part of the Olympic National Park, home of the Hoh Rainforest the Cascade Mountains play a major role in temperature regulation within the park (National Park Service, 2011). The Cascade Mountains protect the Hoh Rainforest from masses of cold air brought down by polar jet streams from Canada (National Park Service, 2011). As a result, most of the polar air stays east of the Cascades, resulting in warmer temperatures within the Hoh Rainforest (National Park Service, 2011). The Pacific Ocean is simply the largest temperature moderator of the Hoh Rainforest (National Park Service, 2011). The Pacific Ocean also plays a critical role in precipitation levels experienced in the region as maritime polar air masses are pushed inland by westerly wind patterns (Christopherson, 2010). The Olympic Mountains are another major influence over temperature and precipitation levels in the Hoh Rainforest. The mountain range causes orographic lifting to occur (National Park Service, 2011). As air is pushed inland from the ocean, air pressure decreases, pushing it upward as it approaches the mountains (Christopherson, 2010). Simultaneously, the air increases in elevation and gets colder (Christopherson, 2010). Precipitation then occurs when the atmosphere reaches 100% relative humidity as a result of moisture entering it from the ocean (Christopherson, 2010). Most of this precipitation is experienced on the windward side of the Olympic Mountains (National Park Service, 2011). The Hoh Rainforest has not experienced any extreme weather events, with the exception of flooding which will be addressed in an upcoming section of this paper. It is worth noting, that while the Pacific coast of Washington is susceptible to tsunamis, the Hoh Rainforest is situated far enough inland to be protected from such an extreme weather event. The Hoh Rainforest is classified as a marine west coast climate type (Christopherson, 2010). It is therefore characterized by few temperature extremes and plenty of precipitation in all month of the year (Encyclopedia Britannica, 2014). The Hoh Rainforest is made up geologically of sedimentary and extrusive igneous rock (Christopherson, 2010). Sedimentary rocks are formed from the processes of weathering, transportation, and deposition (Christopherson, 2010). Within the Hoh Rainforest, the sedimentary rock make up consists of shale and limestone (Broker, 1994). The outward igneous rock composition is a result of lava seamounts (Broker, 1994). The major tectonic activity experienced in the Hoh Rainforest was plate tectonic activity (Broker, 1994). The land altering processes of faulting and glaciations are responsible for the formation of the peaks and valleys of the Hoh Rainforest (Broker, 1994). Additionally, the creation of the Strait of Juan de Fuca and Puget Sound are results of glacial advances and retreats (Broker, 1994). The topography and prominent features of the Hoh Rainforest and surrounding area consists of valleys, lakes, and mountains. There are 5 major valleys in the Olympic Peninsula region: Soleduck Valley, Bogachiel River Valley, Hoh River Valley, Queets River Valley, and Quinault River Valley (Broker, 1994). There are also 5 lowland lakes made by glacial activity: Lake Ozette, Lake Crescent, Lake Cushman, Lake Wynoochee, and Lake Quinault (Broker, 1994). The Olympic Mountain Range provides a mountainous terrain associated with the surrounding area (Broker, 1994). The major structural controls of the Hoh Rainforest are the mountains within and surrounding the area, primarily the Olympic Mountain Rang. The structural formation of the mountains helps develop a radial drainage pattern (Christopherson, 2010). This pattern occurs when streams flow off a central peak or dome (Christopherson, 2010). As streams within the area flow down the Olympic Mountains, they drain into the Hoh River. The peak discharge ever estimated for the Hoh River is 60,000cfs occurring on October 17, 2003 (US Department of the Interior, 2004). The mean daily flow of the Hoh River is 2,524cfs (US Department of the Interior, 2004). The Hoh rainforest is subjected to flooding by the incumbent Hoh River (NIFC, 2007). While flooding occurred only 1-2 times per decade prior to 1970, the recurrence has elevated to 3 times per year (US Department of the Interior, 2004). The increase in flooding has been blamed primarily on human influence through the introduction of rip rap for bank stabilization; the rip rap while stabilizing the bank also speeds river flow creating higher discharge rates and flood conditions downstream (NIFC, 2007). Other factors contributing to increased flood recurrence include changes in weather patterns and deforestation (US Department of the Interior, 2004). The increase in deforestation for road construction and timber harvesting has not only created impervious surfaces that speed stormwater flow into the Hoh River, but has also decreased canopy cover which helps slow the speed of precipitation reducing the amount of runoff reaching the river system (US Department of the Interior, 2004). The Hoh Rainforest is belongs to the temperate rainforest biome (Marietta College, 2014). The vegetation characteristics of the ecosystem are evergreen and deciduous trees on windward slopes and redwoods (Marietta College, 2014). Indicator plant species of the temperate Hoh Rainforest are mature strands of conifers, including: Douglas Fir, Western Red Cedar, Mountain Hemlock, Western Hemlock, Sitka Spruce, and Lodgepole Pine (Marietta College, 2014). The dominant deciduous tree species is the Big-leaf Maple, while mosses, lichens and epiphytes are also hey indicator species of the biome (Marietta College, 2014). The indicator animal species of the temperate Hoh Rainforest include slugs, birds such as the Clark’s Nutcracker and Blue Grouse, and Roosevelt Elk (Marietta College, 2014). The ecosystem of the Hoh Rainforest is characterized primarily by rain or precipitation and moderate temperatures (National Park Service, 2014). Other key characteristics include: large old trees, dead wood, epiphytes, nurse logs, and Roosevelt Elk (National Park Service, 2014). The temperate rainforest is the fourth most productive ecosystem type; it has a net primary production rate of 600-2500g/sm/yr (Christopherson, 2010). The ecosystem provides an abundance of ecosystem services. The trees of the rainforest filter air by capturing carbon dioxide and other pollutants (National Park Service, 2014). Additionally, the trees help manage stormwater by capturing and slowing precipitation in the canopy and water absorption and filtration by plant roots (National Park Service, 2014). The Hoh Rainforest provides much to animals and humans in the way of habitat and recreation (National Park Service, 2014). There are four distinct habitats in the Olympic National Park and Forest (Broker, 1994). First, there are the marine and estuarine coastal areas (Broker, 1994). Second is the temperate rainforest (Broker, 1994). The third habitat is the alpine meadows and unvegetated glacial peaks (Broker, 1994). Finally, the national park and forest contains the rain shadow forest and field habitat (Broker, 1994). The dominate plant communities within the Hoh Rainforest are large old coniferous trees, including Douglas Fir, Western Red Cedar, Mountain Hemlock, Western Hemlock, Sitka Spruce, and Lodgepole Pine (Broker, 1994). Dominant deciduous trees of the Hoh Rainforest include Big-leaf Maple, Vine Maple, Red Alder, and Black Cottonwood (Broker, 1994). Ferns, mosses, and lichens are also dominant plant types within the ecosystem (Broker, 1994). The dominant animal species within the Hoh Rainforest are fish, such as trout, amphibians, and primary consumers, such as Roosevelt Elk and Black-tailed Deer (Broker, 1994). The Hoh Rainforest follows a food chain and web similar to that of all temperate rainforest. The food chain and web progress beginning with producers like grasses and blackberries (Christopherson, 2010). The primary consumers such as deer and elk consume the producers (Christopherson, 2010). Secondary consumers, such as black bears, tick, or insects then feed off or on the primary consumers (Christopherson, 2010). Meanwhile, tertiary consumers like birds feed on the secondary consumers (Christopherson, 2010). Decomposers, such as soil bacteria and fungi feed on each of the previously mentioned members of the food chain and web, as they breakdown the plant animal remains (Christopherson, 2010). The producers are then fed by the decomposers, starting the chain and web over again (Christopherson, 2010). The Spotted Owl is an example of an animal occupying a niche within the Hoh Rainforest (Broker, 1994). To thrive, the Spotted Owl has very specific habitat requirements consisting of. â€Å"dense, mature strands of trees and a minimum of 3000 acres of contiguous forested land with mature, multi-layered, multi-aged canopy, large snags, deformed branches for perches, and internal defects for nest cavities,† (Broker, 1994). The Hoh Rainforest therefore is the ideal place for this animal population to exist. Many symbiotic relationships exist within the Hoh Rainforest. Such relationships are often illustrated by fungi and plant species. An example occurring in the Hoh Rainforest are the fungi, Conk’s and Turkey Tails feeding off organic matter on trees (Broker, 1994). The Human-Land relationship within the Hoh Rainforest can be both positive and negative. Recreational activities like camping, hiking, birding, and fishing are all examples of the positive relationship between humans and the rainforest (National Park Service, 2014). Conversely, clear-cutting and logging illustrate the negative relationship between man and the Hoh Rainforest (National Park Service, 2014). Such actions are responsible for landslides, the choking of rivers and streams with sediment caused by downed logs, and diminished wildlife habitats (National Park Service, 2014). The ecosystem of the Hoh Rainforest is of stable, high quality. The area is home to many endangered species, such as Spotted Owls, Marbled Mureletts, fishers, salmon, and Bull Trout (Olympic Coast Alliance, 2005). Each of these species depend on the highest quality forest conditions and their presence reflects the stability and quality of the Hoh Rainforest (Olympic Coast Alliance, 2005). The major threat to the Hoh Rainforest ecosystem and the species within is logging (Olympic Coast Alliance, 2005). Many conservation strategies have been implemented in an effort to control logging in the rainforest. The most successful strategy has been to include the Hoh Rainforest in the Olympic National Park, Olympic National Forest, Olympic Experimental Forest, and Quinault Indian Reservation (Olympic Coast Alliance, 2005). Inclusion in these larger systems provides rigid and strict regulation over logging within the Hoh Rainforest. References: Broker, Stephen P. (1994). Climate and Ecology. Yale-New Haven Teachers Institute. Retrieved from http://www.yale.edu/ynhti/curriculum/units/1994/5/94.05.04.x.html. Christopherson (2010), Elemental Geosystems, 7th Ed. Marietta College, Department of Biology and Environmental Sciences. (2014). Biomes of the World. Retrieved from http://www.marietta.edu/~biol/biomes/temprain.htm. Marine West Coast Climate.(2014). InEncyclopà ¦dia Britannica. Retrieved fromhttp://www.britannica.com/EBchecked/topic/365348/marine-west-coast-climate. Northwest Indian Fisheries Commission (NIFC). (2007). Hoh River Flooding: Needs of Fish and People Must be Balanced. Retrieved from http://nwifc.org/2007/12/hoh-river-flooding-needs-of-fish-and-people-must-be-balanced/. National Park Service. (2014). Olympic National Park Washington. Retrieved from http://www.nps.gov/olym/planyourvisit/visiting-the-hoh.htm. National Park Service. (2011). Olympic National Park: Weather and Climate Retrieved from http://www.nps.gov/olym/planyourvisit/upload/weather.pdf. Olympic Coast Alliance (2005). Olympic Coast Rainforest. Retrieved from http://www.olympiccoast.org/rainforest.html. Olympic National Park.(2014). InEncyclopà ¦dia Britannica. Retrieved from http://www.britannica.com/EBchecked/topic/428124/Olympic-National-Park United States Department of Agriculture, Forest Service. (2014). Olympic National Forest. Retrieved from http://www.fs.usda.gov/detail/olympic/about-forest/?cid=fsbdev3_049559. U.S. Department of the Interior, Bureau of Reclamation Technical Service Center (2004). Geomorphic Assessment of Hoh River in Washington State. Retrieved from http://www.ecy.wa.gov/programs/sea/sma/cma/pdf/Hoh_CMZ.pdf. Radical Botany (2014). Restoring the Connection Between Native Plants and Humans. Retrieved from radicalbotany.com/category/fungi-and-mushrooms/.

Friday, September 20, 2019

A New Era of Terrorism Essay example -- Terrorism

Since September 11th, when the Twin and Pentagon towers were hit by planes, controlled by Middle Eastern Muslim terrorists. The perception toward Muslims being violent has been spread throughout the world. Innocent people who have never been involved in any crime act are being limited in practicing their religious duties. To be more exact, Freeman vs. Florida case ruled that Freeman has to take her veil off when taking a photo for a state driver’s license. The State argued that it had a compelling interest in the full-face photograph requirement because promotes safety and security, combats crime, and protects interstate commerce. The importance of a driver’s license is clearly known, not only for driving matters, but also identification document even when using a credit card. Freeman claimed that, wearing a veil is a Muslim woman’s duty, as well as driving for her is a must because of her daily routine. Freeman suggested that the free exercise of religion is pro tected under Article I, Section 3 of the Florida Constitution, which grounds the right to religious freedom. Cases like this have allowed the Criminal Justice System to give birth to other ways of identifying people. Today’s generation of portable electronic measurement devices offer new possibilities. A routine police patrol pulls over a vehicle for traffic violation. Instead of asking for driver’s license, the officer snaps a digital picture of the drivers face and transmits it back to the localization via a wireless link in the patrol vehicle. The picture is compared against a facial image database, a match found, and the identity of the driver flashed up on the officer’s in-car terminal; without needing the cooperation of the driver, who may be incapacitated or abusi... ...o accommodate individual beliefs. Thus, until biometric identification has been fully studying and implemented, the utmost importance is public safety. Public safety should continue to outweigh those feeling that showing your face for a driver’s license is a blow to their religious freedom. Works Cited Armstrong, C. (2003, June 12). Freedom Line. Retrieved March 31, 2012, from CFIF.ORG: http://www.cfif.org/htdocs/freedomline/current/guest_commentary/sultaana_freeman.htm Retinal Scan. (n.d.). Retrieved March 29, 2012, from Wikipedia: http://en.wikipedia.org/wiki/Retinal_scan Sultaana Freeman. (n.d.). Retrieved March 30, 2012, from Wikipedia: http://en.wikipedia.org/wiki/Sultaana_Freeman Zalman, A. (n.d.). Biometrics: Retinal Scanning. Retrieved March 30, 2012, from About.com: http://terrorism.about.com/od/controversialtechnologies/g/RetinalScans.htm

Thursday, September 19, 2019

the wasteland Essay -- essays research papers

Throughout his presentation of London and its citizens, Eliot creates a tremendous and oppressive sense of inertia and stagnation. He evokes brilliantly both the literal wasteland which World War One left and also the profound spiritual dissatisfaction which many at that time felt, as well as the need for a rebirth or resurrection. The first words of this section; ‘Unreal City’ convey perfectly the sense of awe and even dread with which Eliot views London life. There is something incredibly intense and surreal about this opening, which leads fittingly on to images of hell, war and dissatisfaction. It is clear that Eliot thought much of life was going nowhere, with people, like water, moving but never reaching a true destination or conclusion: ‘A crowd flowed over London Bridge’ and he links this image in a dream-like way to Dante’s reaction to the dead in limbo: ‘So many, It had not thought death had undone so many’ That the people Eliot is describing are actually not dead, makes this all the more haunting, as though London life is actually a living death. In fact, because Dante was talking of those who even in life had never really experienced anything, Eliot also conveys a chilling sense of dissatisfaction and isolation, with no-one ever really connecting to those around them: ’Sighs, short and infrequent, were exhaled, And each man fixed his eyes before his feet.’ Into this bleak vision of loneliness, the brief excitement of recognising a face in the crowd ‘There I ...

Wednesday, September 18, 2019

Jerrocs Betrayal Essay example -- Star Trek Defector Essays Papers

Jerroc's Betrayal In the Star Trek: the Next Generation episode entitled "The Defector," an interesting issue concerning loyalty and credibility is raised. When Admiral Jerroc of the Romulan Empire turns himself over to the Federation in an apparent attempt to save both parties from a potentially catastrophic war, he violates most of the unstated rules of turning against one's comrades to fight for the enemy. His behavior and statements as a prisoner aboard the Enterprise cause Captain Picard to doubt Jerroc's explanation for why he has undertaken such a course of action. Jerroc's argument is fairly shaky, as he relies initially on ethos, trying to put forth his cause in the most straightforward manner. As time progresses and the situation grows more grave, however, Jerroc begins to utilize a more emotional argument, which is often very effective when conversing with the "good guys." Jerroc's method of convincing Picard that he is sincere plays heavily in attempting to analyze another aspect of the si tuation: whether or not Jerroc's betrayal of the Romulans constitutes a treasonous and seditious act against them, or if he is simply defecting to the cause in which he truly believes. Jerroc's inconsistent argument, combined with other circumstances which unfolded throughout the episode, is evidence that Jerroc has lost his faith in the Romulan cause and has done what he felt is right. These circumstances help to clarify Jerroc's reason for betraying his Romulan brothers and make the distinction between his being a traitor and his being a defector. Before attempting to place a label of defector or traitor on Jerroc, it is necessary to establish a working definition of the two terms. Both terms certainly constitute an act of ... ...s toward the Romulans. For this reason, Jerroc simply cannot be viewed as a traitor under the definition previously established. His behavior and motives clearly show that Jerroc's intentions were unbiased, and that he merely tried to do what was right. An important factor in trying to determine if Jerroc is a traitor or a defector is the perspective the opinion is taken from. Without a doubt, the Romulans would view him as a traitor, as it is certain that they feel many negative feelings toward him. Jerroc also damaged the Romulans in an indirect way by ruining a plan which may have benefited them greatly. The definitions must be applied in a neutral context, however, and that context clearly shows Jerroc's non-hostile attitude toward the Romulans. Ultimately, the inconsistencies in Jerroc's argument helped to establish him as a defector rather than a traitor.

Tuesday, September 17, 2019

Formational Hermeneutics

When the Journey of that begins at the intersections of sin and shame, the destination is almost convincingly assured. It is difficult to block out the persistent, internal voice that whispers, uniform no good. You're a sinner. You're a loser. You'll never amount to anything significant in this life. † These internal whispers convince people that they are nothing more than â€Å"wretches† who are somehow lucky to be â€Å"saved† by God's â€Å"amazing grace. † To that point, some of the most significant Christian hymns may even be guilty of reinforcing this type of â€Å"theology'. On the other hand, many â€Å"goodChristian people† are afraid of what they perceive as â€Å"the alternative theology' which they somehow think subtlety and incorrectly suggests, muff are gods. You have Christ-consciousness. You are divine. † Many well-meaning followers of Christ are afraid that giving these words any space in their hearts may actually lead them d own a completely different road of skewed theology by convincing them that they should be the one sitting in God's place, that they don't need to rely on anyone bigger than themselves because they already have everything they need in and of themselves.The Christian's primary responsibility is to determine exactly what the Bible says about their true identity and what their responsibilities are as followers of Christ. A Christian living out of their true identity in Christ has the power to change the world. Who is Christ? In order to properly understand their true identity in Christ, a Christian must first appropriately determine who Jesus Christ actually is. While this may seem like a fairly simple question on the surface, it may actually be much more complicated than originally expected.For example, the Jesus many Christians come to know when they first experience heir life-transforming moment of faith (Conversion Experience) may not be the same Jesus to them twenty years later. Li fe's many twists and turns have a tendency to distort some Christians' understanding of Jesus. The simple, â€Å"child-like† faith that originally rescued them from the domain of darkness has become much more complicated and convoluted through the years and their image of who Jesus is has the tendency to be drastically altered through these experiences.For others, the Christ they came to know by faith turned out to be more of an â€Å"intellectual Christ† than anything else. Once they finally had the opportunity to meet the real Jesus â€Å"experientially', it changed their complete understanding of who He really is. Much like Saul on the Road to Damascus, when the authentic Jesus shows up in all of His glory, He has a tendency to turn everything we always thought we knew completely upside down! One's personal, intellectual knowledge of Him? Is it through a personal experience one has at some point in life?Or could it be that the best way to honestly understand who Je sus Christ is can be found in the pages of His Word, the Bible? The story of who Jesus is remains consistent throughout the pages of Scripture according to Stan Janet and Bruce Bicker: Jesus Christ is God in the flesh, The Messiah, The Savior of the World. He came to earth to show humanity how they were designed to live, and as a result of Him living this kind of life fully and completely, humanity sentenced Jesus to death by crucifixion. Manta 1998, 205-211) But even death couldn't stop Jesus.His resurrection from the dead proved that He was who He said He was and that He was capable of changing everything for those who trusted Him enough to put their complete confidence in Him. According to Christian Smith, Jesus Christ is also â€Å"the purpose, center, and interpretive key' to the entire Bible. (Smith 2011, 97) When the Holy Scriptures are read â€Å"Characteristically, Chronologically, and Characteristically', the story of the Bible finally begins making spiritual sense. (Smi th 2011, 98) The Bible is all about Jesus.Every Old Testament story foreshadows Him. Every Prophecy points to Him. The Gospels are an eyewitness account of His life and the remainder of the New Testament reinforces who Jesus is and why He should be the centerpiece for everyone who calls him or herself a Christian. Jesus Christ is God in the flesh pursuing a relationship with His children. He is trying to show them who they really are in relationship to Him. He is desperately trying to convince them of their true identity because he understands the implications of this life-altering truth.It has been misunderstood and misrepresented by well-meaning Christians for thousands of years and it continues to be misunderstood today, but if those who call themselves followers of Christ could finally understand their true identity and begin living freely and unabashedly out of that identity, it would have the power to revolutionize the oral! Christian Smith does an amazing Job of convincing hi s readers that the interpretive key to understanding not only what the Bible is all about, but who they are in their core identity is Jesus Christ Himself. Who Are We in Christ?In the tenth chapter of John's Gospel we find a very interesting interaction between Jesus and a group of unbelieving Jews during the Feast of Dedication in Jerusalem. Jesus was in the temple area walking in Salmon's Colonnade when he finds Himself surrounded by a group of Jews who desperately want Him to tell them plainly if he is â€Å"the Christ†. Jesus responds to their intense questioning by ultimately saying, â€Å"l and the Father are one. † Noon 10:30 NIB) Upon hearing this, the Bible says that several of the Jews picked up stones intending to stone Jesus to death.What could've possibly caused this type of response from the Jews? It could only be that Jesus, a mere man in their eyes, was making a direct claim to be God Himself. This was considered a sin of blasphemy and was punishable by death! This is where the passage starts to get interesting and much can be learned about the Christian's true identity when we understand the intent behind Jesus' words. Even though the Jews reiterate their reasoning for their desire to stone Jesus to death in verse 33 as blasphemy, Jesus' response is what's most intriguing as it relates to the basis of this assignment.Being the true Rabbi and Scholar He was known to written in your Law, ‘I have said you are gods'? If he called them ‘gods,' to whom the word of God came – and the Scripture cannot be broken – what about the one whom the Father set apart as his very own and sent into the world? Why then do you accuse me of blasphemy because I said, ‘l am God's Son? Do not believe me unless I do what my Father does. † According to Author and Theologian D. A. Carson, when Jesus quotes Psalm 82, He's proving that the word ‘god' is â€Å"legitimately used to refer to others besides God himself. Carson 1991, 397) If there are others whom God can address as ‘god', then why should anyone object when Jesus says He is God's Son? Furthermore, how could anyone object that one of the most pressing issues in the Church today is for Chrism's Followers to begin living as the ‘gods' they were created to be? After all, doesn't this Scripture seem to support the idea that True Followers of Jesus Christ are created with God's Divine DNA? In the very essence of their being, aren't true Followers of Christ indeed divine?It is absolutely essential that Christians begin learning to live appropriately as ‘gods' if they're going to experience everything God intended them to experience in this life. In order to completely understand what Jesus is saying in the tenth chapter of John's Gospel, it's critical to read and understand Psalm 82 in it's entirely and determine precisely what was being said, to whom it was being said and why Jesus chose to quote this particular passage of the Bible at this exact moment in time while He was being accused of the sin of blasphemy.Carson suggests a few options in correctly understanding and interpreting Psalm 82: 1 . God is addressing Israel's Judges – The Judges are referred to as ‘gods' because they exercise Justice â€Å"divinely' by determining who will be â€Å"saved† and who will be â€Å"wiped out†. Unfortunately these Judges are actually accused of corrupting Justice in Psalm 82. 2. God is addressing Angelic Powers – Based upon evidence in the Separating and certain ancient documents from Kumara, it has been suggested that the ‘gods' referred to may be fallen angelic beings.If these types of angels can be referred to as ‘gods', then certainly Jesus appropriately uses the term in reference to Himself. 3. God is addressing Israel at the time of The Giving of the Law – Many Rabbi's ascribed this view of Psalm 82. Carson seems convinced that this is the most si mple and yet accurate view of Psalm 82: God addressing all of Israel. (Carson 1991, 398-399) Understanding the entire context of Psalm 82 is critical to an appropriate understanding of what Jesus is saying back in John 10.If God can refer to the entire nation of Israel as ‘gods' and ‘sons of the Most High', then Jesus has provided satirical precedent for why He chooses to refer not only to Himself as the â€Å"Son of God† throughout the Gospels, but specifically why it's completely appropriate, even more, why it's preferred that we understand our own identity as ‘gods' and ‘sons of the Most High' as we live the Christian life today. (Gabrielle 1991, 535) Indeed our complete goal in this life according to C. S. Lewis is to become a â€Å"little Christ† and to begin living out of this life-transforming truth! (Lewis 1952, 58) A Compelling Argument for Thesis?Thesis is a term commonly used by the Eastern Orthodox Church to describe the desired end result of the salvation process. † (Lowell 1984, 1191) The word was made man, it is that men might become gods. † (Lowell 1984, 1191) Similar phrases are also found with many other Church Fathers such as Euthanasia and many others to support their understanding of what encompasses a true salvation experience. Gregory of NASA, Justine Martyr, Hippopotamus of Rome, Basil of Caesar, Clement of Alexandria all understood the process of what later came to be known as â€Å"Thesis†. Augustine of Hippo said, â€Å"For He hath given them power to become the sons of God.If we have been made sons of God, we have also been made gods. It doesn't get much more obvious than this. Except maybe when Clement of Alexandria said, â€Å"The Word of God became man, that thou majesty learn from man how man may become God. † (Roberts 1994, Volvo. 2) These and other great Theologians down through the years use Biblical Texts like Romans 8:29, 1 John 3:2 and especially 2 Peter 1:4 to support their understanding of the doctrine of Thesis. Certainly one must consider the â€Å"preponderance of the evidence† when considering the doctrine of Thesis and whether or not a person has the potential of experiencing divinity.According to the Apostle Peter, believers are invited to â€Å"participate in the divine nature† as the ultimate goal of every human life. This â€Å"divination† is in fact the ultimate spiritual experience available to everyone who identifies himself or herself as a follower of Jesus Christ. Becoming more divine, more like God by understanding the importance of taking on a divine nature may be the most important and most neglected aspect of Christian Spirituality today. In fact, if it's true that â€Å"divination† is the ultimate fulfillment of what it means to be human, the process may be more appropriately offered to as ultimate â€Å"humiliation. (Christensen 2008, 325) Divination is not a transcending of what it mea ns to be human, but the fulfillment of what it means to be human. As the Apostle John so eloquently says in 1 John 3:2, â€Å"when he Jesus) appears, we shall be like him, for we shall see him as he is. † While many readers believe this text refers to some point in the future when the believer passes on from this life and meets Christ face-to-face in the next life, a growing number of theologically astute readers recognize this text as a promise for today!When the Apostle Paul experienced the Risen Christ personally on the Road to Damascus in Acts 9, didn't he â€Å"see him as he is†, and wasn't he transformed by the power of Chrism's Divinity? This same power is at work in the world and available to Followers of Christ today! When those who claim to be believers in Christ experience the power of the Resurrected Jesus, they are truly never the same. Their lives are transformed. They are changed into Little Chrism's.They have the power of Divinity within them now as Chi ldren of the King of the Universe. In his Epistle to the Romans Paul said God predestined† those whom He foreknew to be â€Å"conformed to the likeness of his Son. † Was this simply a promise for life in the next world, or was this meant to be a promise lived out powerfully in today's world? When Paul lived out of this life- transforming truth himself, he was used by God to change almost everything and everyone around him.He testified as he was locked to prison guards, he stood before powerful Kings and unlike anyone else before him was able to do, Paul took the message of the Gospel of Jesus Christ to the Gentiles which changed the first-century world and continues to change the world today! A Holistic, Spiritual Response Are we all God's Children, or only Christians? This is a provocative question and one determine the way one approaches all of life. There are so many people who describe themselves as â€Å"Christians† in the world, yet never received a proper understanding of their true identity.What exactly does it mean to be a true â€Å"Christian†, a â€Å"little Christ†? Does it mean you are simply a follower of Christ, relying upon Him for your existence in this world but more importantly looking forward to the promise of your true â€Å"deification† in the next world? Or could it mean that your rue â€Å"divination† is available right here, right now in this world and that it has untapped power and potential to not only completely alter your life as you know it, but everyone else's life who comes into contact with you?It has been the intention of this paper to show that true â€Å"Christians† are sons and daughters of God right here, right now in this life today, and as God's Children, today's Christians have the power of God's Divine DNA living in them today! Imagine what an incredible impact this truth could have upon our world! Imagine what could happen if all Christians began understanding and living out of their true identity in Christ. God's Word says that as confessing Christians, we are all â€Å"gods† and â€Å"partakers in the Divine Nature† according to Holy Scripture.For many people who know this truth intellectually but have never learned out the power of this truth practically, it has had little to no impact upon their lives and religion has been Just that, stale, old religion with no perceived power to impact their lives in a practical way. But for a small minority of others who are beginning to grasp this truth beyond simply intellectually, it is impacting their lives and their worlds in unimaginable ways! Is it genuinely possible that Protestants have missed this amazing Biblical truth for all these years?And for those Orthodox brothers and sisters who are taught this doctrine from a very young age, why hasn't it had the life-transforming effect on their lives that seems so inevitable when one begins to understand the Biblical Teaching of Thesi s and Divination? What did Jesus really mean when He quoted Psalm 82 as He was about to get stoned to death for claiming to be God? It seems as though people making a lain to divinity has always had two very distinct effects on people: Some are drawn to the person and give up everything to follow them and learn from them as either God's Representative or in some cases as God Himself.Or they are completely put off by the claim and seek to put an end to the person making it (Remember the peoples' response to Jesus in John 10: 33). Could it be possible that there is a better way to understand Jesus' complex teaching on this topic? What if the Doctrine of Thesis was never meant to have such a divisive and popularizing effect, but instead was intended o bring power to the life of every Christian and enable to live the way God originally designed them to live in this life and the life to come?It is the intention of this author to prove that the â€Å"Christian† response to the teac hing of â€Å"Divination† and â€Å"Self- Deification† or â€Å"Thesis† should not be an â€Å"either/or† response, but a â€Å"yes/and† reply. (Roar 2013, 205) Yes, the Bible seems to very clearly teach that Jesus is 100% human, and it also teaches that Jesus is 100% divine. This is non-dual, inclusive thinking (Roar 2013, 235) and it is the type of thinking Christians need to implement more often if they are ever going to live the way they were designed to live – as gods in a God-bathed world.What Difference Does it Make in Practical Ministry? Responsibility in parenting their children. An effective parent wants nothing more than for their children to know who they are at their core and to live out of that unique, God-given identity. An effective pastor also wants the members of his or her congregation to understand who they are created to be and to be able to live out of that identity. The problem with so many Christians today is that the y've never been taught who hey really are in Christ: At their core being, according to Jesus' own teaching in John 10, they are gods.

Monday, September 16, 2019

Personal Life and Hobbies Essay

One of the biggest problems of human kind is time. Although after retiring from their job people usually dedicate their time to an activity, which they enjoy. An activity that people enjoy doing in their free time is called a hobby. People in general have several hobbies, even if they think they have none, or no spare time at all. Some of them are fond of normal sports like: football, tennis, basketball, hockey or gymnastics; and some people like extreme sport, for instance snowboarding, roller-skating, bungee jumping. Sports are not only hobbies people have. The bug of watching TV all day bites many persons, and some are found of listening music, cooking, reading books and newspapers or even eating. We can say that the pleasure id the most important purpose of a hobby. Hobbies have many advantages like relaxation that can help you get rid of stress; and you can learn new things. A hobby can give you energy, happiness, personal accomplishments and willingness. In spite of these advantages, some disadvantages of having a hobby can appear. A hobby can be a real waste of money. Hobbies can turn into a kind of dependence like for instance a person who watches too much the TV is becoming a couch potato. All in all, if you are a rational person it is a very good thing to have a hobby because you’ll be able to distinguish the good and bad parts of a hobby. I have many hobbies like: playing chess, going out whit my friends, going camping, listening to music, watching sports like football, tennis, formula 1 and others. In conclusion hobbies are very important and we must let them be a part of our life because it will make it more beautiful.

Sunday, September 15, 2019

Did the wall street crash cause the great deppression?

In the commencing essay, I will be evaluating whether the Wall street crash caused the Great Depression or not. I will be discussing whether is has played a major part in the Great Depression, whether it was just a minor incident. The Wall Street Crash was a defining moment in the American economic history. It occurred on October 29, 1929. Before this, the American economy was booming. During the 1920's, share prices were rapidly increasing and businesses were doing very well. The image the world received from America was that that everyone was rich, which wasn't. The farmers were given very small amounts of money for their work. This meant that people had more money so more products were being sold. There was a lot of speculation that share prices would continue to rise. However, in 1929, the stock markets began to fall dramatically and caused devastating effects on the American economy. This was the beginning of long-lasting consequences for the whole country, and the world. The Great Depression was a long gradual period in which America suffered great economic depression, during which financial activity slowed down and unemployment was high. America had a high rate of starvation, homelessness and poverty. P eople were living in poor conditions with very little money. There were a few causes of the Wall street crash. One was overproduction. Throughout the 1920's there was a man known as Henry Ford began to produce cars at an extremely rapid rate. The amount of goods produced by the industry was increasing especially these auto mobiles,l and consumer goods. However, this was stopped from the 1930's. As a result of overproduction, there was not enough wealth for people to keep on buying. The second cause was the weakness in banks. At the start of 1920, there were 30,000 independent banks. Most of these were small banks, in rural areas. They were liable to being withdrawn loans by their customers in large amounts. 10 years later, 5000 banks were gone, which was 1/6th of the country's banks. Another main reason was the extremely uneven distributions in income. In 1929, a staggering 1/3 of the country's wealth belonged to just 5% of the population. Meaning that just 2/3 belonged to 95%. This was a factor of overproduction as limited amount of people in the country could afford new products. Probably the main reason why the Wall Street Crash happened was that there was an international problem with the economy. The ability of the European country's being able to sell goods to America and helping them out with debts, was limited by a Tariff policy which was introduced. This policy (Smoot-Hawley Tariff) was increasing the tax on imports. As a result they were not helped and assured by European countries with trades. This Wall Street Crash impacted many things. As well as the economic downfall, it also caused banks to come to bankruptcy. People borrowed money from the banks, and when the Wall Street crash happened, they were unable to pay the banks back. More than $8.5 billion was loaned out, which is even more than the entire American economy. This great crash also affected the everyday lives of the American citizens. Over 20 million American citizens lived on $2000 per year. People lost their jobs because the business they worked for couldn't afford their wages. So people began to work in the agriculture. Also, all businesses were struggling to survive in this crash. Share prices increased rapidly, and the businesses were unable to pay for their stock. This was a cycle which inflicted on each other, and each one started from the other. The Wall street Crash itself was not the sole reason of the Great Depression. There was very severe drought in the 1930 in the USA, which impacted America even more. If the farmers were unable to grow crops, how would they receive money, and feed their families? If the businesses do not receive the crops, how would they be able to keep receiving profits? As a result, these farmers had to sell their land. This was when famous author John Steinbeck wrote the book ‘The Grapes of Wrath', which was based on this drought. Also, the Smoot-Hawley Tariff as mentioned above, was a vital part in this depression, as trades were limited. In conclusion about whether the Wall Street Crash caused the Great Depression, personally I believe that the Wall Street Crash was not the sole reason for the Great Depression, but was definitely the main reason. If there was no economic downfall, the Great Depression would not have happened. The Wall street crash opened doors for many different problems, such as bankruptcy. If the Wall street crash itself did not happen, these things would not have occurred.

Saturday, September 14, 2019

What attitudes does consumers have on purchasing genetically modified foods (GMF)?

â€Å"Genetically modified (GM) foods are food items that have had their DNA changed through genetic engineering. † (Mavis 2008). As the population of the world has continued to grow, the supply pressure of food has become more and more significant. With the development of Genetically Modified biotechnology, GM Foods have been come into our daily lives. Though GM foods can help to improve the quality of life, there are risks to complete trust in GM foods. What’s more important, a part of consumers still have doubts about the understanding towards GM food. The question† What attitudes does consumers have on purchasing genetically modified food? † is meaningful because that the issue about GM foods is becoming increasingly controversial. The controversies towards GM foods generally focus on environmental ethics, food security, poverty alleviation and environmental conservation. As customers are divided on their relative importance, some supporters claim that the GM technology can solve the problem of food crisis and poverty. They also consider that GM foods are beneficial to environment such as they can protect soil and water. However, opponents think that GM foods should have some potential threat to human health and they violate the rules of nature by mixing genes among different species. The purpose of this research is to gain a deep understand about the consumers’ attitudes towards purchasing GM foods and find out if most of consumers can accept GM foods. (Hutchison, 2004) Literature review In the last few years, many articles on the consumers’ attitudes toward GM food have appeared. There is a concise review of existing literature that evaluates consumers’ attitudes as following. Most of the information on European attitudes comes from a journal by Bredahl, Grunert, and Scholderer (2003). The article focuses on posted and answered four questions on European consumers’ attitudes towards the use of GM food. These four questions are: (1) how negative are consumer attitudes to the event â€Å"GM technology applied in food production†? (2) How do these negative attitudes affect the preference of consumer for GM products? (3) How deeply does these attitudes rooted in customers’ opinion? 4) Will the new information and experience change the customers’ attitudes? Bredahl, Grunert, and Scholderer (2003) believe that these four questions are central for understanding the consumers’ attitudes about GM food. The article use some tables to evaluate the consumers’ attitudes about genetic modification in food production in seven European countries which are the UK, Denmark, Finland, Germany, Norway , Italy and Sweden. The data shows that most of the customer have negative attitude towards GM food, the average support for GM foods is quite low. The national differences can also be showed through the table: the attitude is most positive in Italy, and is most negative in Germany and the Scandinavian countries, while Finland and the UK in a middle position. And the article also showed some other surveys to support this result, for example, the Eurobarometer surveys, which is a most well know one, have also shown that most of consumers do not like GM foods (Frewer & Shepherd, 1995 and Durant, Bauer & Gaskell, 1998European Commission, 1997, European Commission, 2000,) For the question how these negative attitudes affect the preference of consumer for GM foods, Bredahl, Grunert, and Scholderer (2003) have design a research about yoghurt. In general, consumers prefer the low-Fat yoghurt, but the yoghurt will become non-attractive consistency if they produced based on skimmed milk. Though using additives can improve this problem, many consumers don’t like additives. However, by using GM technology, the yoghurt can be enough consistency, fat-free and no additives. It provided a good basis for the consumer preferences. In the research, consumers inspected the three products which are normal yoghurt, additives yoghurt and labeled GM yoghurt and rank them according to preference. And they must explain the reason for the ranking. The result showed that most of consumer rank GM yoghurt to last choice. And the common reasons are that the GM technology is not familiar and not trustworthy, they don’t know if the product is healthy, and it harms nature. The conclusion is explicit: the attitude to GM food has a strong influence on the preference of consumers. The third question and the last question were researched in another study. Respondents were asked to take part in a taste test of eight cheeses. Two weeks later, they participated in another taste test which only provides two kinds of cheese. One cheese was the same taste as the one which obtain the highest preference in the first test and it was labeled â€Å"produced with genetically modified technology†; the other one was the some taste as the one which obtain a medium preference in the first test. The results showed that when the most popular cheese labeled genetically modified technology, the preference was reduced. So, the study shows the attitude on GM food is deeply rooted in consumers’ opinion and is not easily to change by experience. There are also some other important researches about consumers’ attitudes towards GM food. Hamstra (1995) evaluate the acceptance of consumers toward GM food through three studies of Dutch consumers. Product characteristics and consumer characteristics are included in these studies. In the first study, consumers participated in a face-to-face interview about their attitudes and willingness to buy nine different GM foods (Hamstra, 1991). Means-end chain theory was used in the second study to further research these aspects in some focus group discussions (Hamstra, 1993). The third study used the sample of consumers to evaluate the model which developed in the second study (Hamstra, 1995). As a result, the studies showed that perceived benefits have a greater impact on consumers’ attitudes than perceived risks and there is no link between attitudes and knowledge of the genetically modified technology. Kutznesof and Ritson (1996) investigated Irish and British consumers’ attitudes through focus group discussions. The results divided the consumers’ attitudes towards genetically modified foods into three types: â€Å"triers†, â€Å"undecided consumers† and â€Å"refusers'†. A large number of consumers were classified into the second group, and the rest of consumers were equally classified as refusing or accepting genetically modified foods. Through the research, Kutznesof and Ritson (1996) found that there are some factors can increase the acceptability of genetically modified foods such as perceived consumer-related benefits, price consciousness, increased product quality (especially the taste), and increased purity of products. They also found that the acceptability of consumers depends on the types of genetically modified foods: the genetically modified technology used on vegetables, fruits and dairy products can be more acceptable than eggs and meat. Some studies have analyzed consumers’ attitudes towards GM foods at a more broadly level. The attitudes of consumers have been proved to be more positive towards applying genetically modified technology to plants than to human genetic material or animals. Frewer, Hedderley, Howard & Shepherd, 1997) The study which completed by Cook and Moore (2002) indentifies the relative importance, nature and strength of influences on New Zealand consumers’ intentions towards purchasing genetically modified foods. The study used four methods to evaluate the consumers’ attitudes which are focus groups, the questionnaire, statistical methods and distribution. Results delivered questionnaires to 289 consumers and received 266. The respondents contain 171 females and 95 males. In the received questionnaires, 159 respondents had an intention or strong intention not to purchase GM foods, 27 respondents had an purchasing or a strong purchasing intention and 80 respondents had no intention to purchase GM foods. Through the analysis with â€Å"Ordered logit analysis† and â€Å"Marginal effects for the extended model† which related to self-identity, attitude, SN and PBC, Cook and Moore (2002) found that self-identity, attitude, SN and PBC can provide a positively influence on consumers’ attitude towards purchasing GM food. Males may more easily to feel in control over purchasing the food than females, on the contrary, females may easily to feel in control over not purchasing the genetically modified food. In addition, other related research shown that the New Zealand public may be slightly less against with purchasing GM food. A national survey about farmers’ attitudes found that 49% farmers not willing to purchase GM food and 12% farmers had positive attitudes to purchase (Cook et al. , 2000). Sallie and Michael, B (2004) choice modeling methods to analyze in what conditions the Australian consumers are willing to purchase GM food, and they also discuss these preferences in the report. The results of the report suggest that if there has a discount on the consumers’ favorite food, they will have an intention to purchase the genetically modified foods. The report also showed that genetically modified technology which used on animals seems to be more unacceptable to respondents than that use on plants, especially among female respondents. In addition, another condition which can influence the consumers’ attitudes for a certain type of food is age of the consumer; the results found that older people generally more accept of genetically modified technology than younger people. In conclusion, the above literature shows that most consumers have the negative attitudes towards purchasing genetically modified foods, and these negative attitudes are not easy to change that can affect the preference of consumers. Furthermore, some conditions such as age and sex of consumers, the species that be applied with GM technology and the discount of genetically modified foods can also effect the consumers’ attitudes. Methodology: The main method of this research is questionnaire which contains online questionnaire and a paper-based survey questionnaire. And the responds assumed to be truthfully. The online questionnaire will be designed on the official websites of large-scale supermarkets. And the links of questionnaire should also be sent to the email of the consumers who are the VIP or the regular consumer of these supermarkets. In addition, the questionnaire will not exceed 8 minutes. The questionnaire should contain open-ended questions and close-ended questions. The sample open-ended questions should be â€Å"Do you have a positive attitude or negative attitude towards purchasing genetically modified foods? Why? † and â€Å"How you access the knowledge about genetically modified technology†. On the other hand, the close-ended question must contain the sex and the age level of the respondents, the questions should be designed like â€Å"I have a intention to purchase foods produced using genetically modified technology (very strongly disagree, disagree, agree or very strongly agree)† â€Å"what do you think your family members’ or friends’ opinion would be when you purchasing genetically modified foods? (Extremely unfavorable, unfavorable, favorable or extremely favorable)† â€Å"Do you think your family members’ or friends’ opinion will change your attitudes towards purchasing genetically modified foods? Very strongly disagree, disagree, agree, or very strongly agree)†. These three questions are very important to understand the consumers’ attitudes towards purchasing genetically modified foods. The advantage of online questionnaire is that it is a less expensive way to investigate more people, and it can also invest igate the people who are at a far distance. Furthermore, the questionnaire can be quickly done and anonymity ensures more valuable responses. But there are also some drawbacks about online questionnaire that must be foreseen. For example, in general, the responds to online questionnaire are from younger people and the response rate should be limited because that not everyone can access to the website. All these conditions should be considered on the result of research. The paper-based survey questionnaire will be sent to the consumers in supermarkets. In order to attract the consumers, the people who accept investigate can get a small gift as an incentive that can increase the participate rate. The age of participate range should between twenties and sixties. And the details of paper questionnaire may be same as the online questionnaire. The drawback of paper-based survey is that poor handwriting may be appeared on the space of open-ended question and some of them cannot be identified accurately. Secondary research is also needed in order to assist the evaluation about results of questionnaire survey. The secondary sources can be found in three areas: sales report of a well-known company which produces genetically modified foods, customer database of this company and primary data. Newspapers, previous research reports, journal content, and government statistics could provide the primary data to secondary. The limitations of secondary research should also be considered during the process of research. For example, some secondary data may not be helpful to the research evaluation because that some data can be vague and general. On the other hand, the source of data must be checked in order to ensure the data is accurate. Moreover, the data maybe out of date. At last, the results of questionnaire and secondary research should be collect together to evaluate the respondents’ attitudes toward purchasing genetically modified foods and calculate if most of consumers can accept GM food. Conclusion: There should be two results of this research; one result is that most of consumers can accept genetically modified foods. It means as genetically modified technology becoming increasingly more oriented lifestyle, the consumers are increasingly familiar with the technology about genetically modified foods, more and more people can trust in GM food. The other result is that most of consumers cannot accept genetically modified foods, and the questionnaire can affect the reasons. It means people still have doubts about the safety and technology of genetically modified food. Genetically modified food is new technology products, though it still exist some problems, but with the development of science and technology, it will be more and more perfect. As long as follow the certain rules, life will be more superior with the healthy and orderly development of GM technology.