Tuesday, December 24, 2019

The Impact Of Technology On Our Lives - 3116 Words

Technology has innovated our lives drastically in many ways dating back to several years ago, from the time of the invention of the very first microscope to the creation of the very first cellphone. The evolution of technology has not only impacted the way we as a society function in our daily lives but as well as how we manage to pursue a better economic living. The human population is and has been facing a crisis that is often ignored by the excitement of the use of modern technology. The conversation of technology replacing the use of mankind jobs is a topic that has built a sudden interest and concern in many talks surrounding economists, politicians, workers and the unemployed. So why does the unemployment rate increase when the production of new technology also increases? Technology was first created to replace the use of mankind application work on certain tasks. If this was not the case then tractors, calculators, vehicles, and computers would not have been invented. It is very well obvious that the fear of the past has long arrived, many argued and are still arguing that the advancement of technology will not only change the way we see and value our daily tasks but as well as the way we create a revolution of unemployment crisis. In this paper I will discuss the evolution of technology, the use of modern technology and how it has affected our lives, the advantages and disadvantages of modern technology and finally last but not least what economist have to sayShow MoreRelatedThe Impact of Technology on Our Lives1544 Words   |  6 Pagesinfluenced the way people live in society. Although many will use modern technology for many of its achievements and advancements, what many dont realize is that it has affected and continues to affect society in a negative way. Today more people are working longer hours and utilizing more technology in their everyday life. As a result of these longer hours and increased use of technology, more energy is being consum ed which negatively impacts the environment. Much of the technology is created to makeRead MoreThe Impact Of Technology On Our Lives2197 Words   |  9 PagesAbstract Technology advancements are positively impacting our lives every day.Technology is an integral part of global business. The internet has enabled people from different locations to communicate effectively which in turn has helped the businesses to grow across borders. With the help of technology, automation of tedious industrial operations has saved both time and efforts. . The e-commerce industry has helped both sellers and customers to a large extent. Today, the world is fully connectedRead MoreImpact Of Technology On Our Lives1752 Words   |  8 PagesBennion English-102 September 28 2015 Impact of Technology on Relationships Technology has a massive impact on humans and plays a very strong role in our everyday lives, as a matter of fact while I’m writing this essay on my laptop I’m also multi-tasking on my phone by listening to music, texting several people and surfing my social media profiles. Technology has many valuable benefits however it overloads our brain, consumes drastic time, and deeply impacts our relationships with family and friendsRead MoreTechnology And Its Impact On Our Lives931 Words   |  4 PagesComputers and technology at large have changed the lives of many people in the world both positively and negatively. Computers have unveiled many things which have greatly influenced our lives. This has made many teachers and students to adopt their use in classrooms. However, the use of computers in our classrooms has been characterized by over reliance on them. Cyber space has also played key roles in our lives. For instance, there is an increase in the number of research pap ers done each day whileRead MoreTechnology And Its Impact On Our Lives1654 Words   |  7 PagesTechnology is an ever expanding forefront that continues to push the limits of mankind s capability. As humanity has grown, we have continued to expand technologies at the forefront of our needs. With every development we create, more issues are discovered. Developing communities may be the biggest challenge we face today, it is said that every day a city the size of Seattle is created. The population of these cities are faced with challenges that are far different and much more diverse than yoursRead MoreThe Impact Of Technology On Our Lives1522 Words   |  7 Pages Take a glance at the people around you and see how many of them are using some form of technology. The role of technology in our lives is becoming more predominant as years pass. While it is an incredible tool at the fingertips of many Americans today, this simple yet complex tool is taking a considerable toll on our l ives. While the roles of technology are a great tool in the lives of many, we need to greatly minimize what the use entails. Whether it be sitting at a coffee shop, simply havingRead MoreThe Impact Of Technology On Our Lives1333 Words   |  6 PagesTechnology is one of the biggest assets in our society and it is always advancing in some way or another. As a society, we depend on different types of technology in our daily lives. We use our cell phones, laptops, and tablets daily. We are always communicating whether it be by text messaging, emailing, or posting on social networking sites. Some days we communicate behind a screen more than we do face to face. With all the instant messaging and text messaging that takes place, we have forgottenRead MoreThe Impact Of Technology On Our Lives1000 Words   |  4 PagesTechnology occurred before the human kind and it has improved people’s lives positively and negatively. The influence of technology is really great that it has abso lutely changed our lifestyle. Computers, the Internet, Gadgets all these things have transformed our working system completely and our productivity has increased unbelievably. As everyone knows with every positive that have to be a negative, technology is really great, but it also has a huge affected every part of family life. We are spendingRead MoreImpact Of Technology On Our Lives Today1313 Words   |  6 PagesThe impact technology has on our lives today is unmeasurable. We use technology nowadays for just about everything we do. Technology plays a major role in society as well nowadays. Everybody, including the adults have use technology to get to point to point B. Technology in this generation is more advanced than it has been before. It has been proven that the world we live in today is nowhere near what our forefathers endured. Modern technology is the forefront for advanced research and the sciencesRead MoreThe Impact Of Media On Technology On Our Lives Essay1342 Words   |  6 PagesOften, we take for granted the significance of media within our lives. Experimenting without media usage for a day, I was amazed at the change in my thought and behavior. Personal experiences and examples provide proof of new ideas and present theories, discussed and developed within the essay. Presenting a balance to the subject, there is an analysis to both the positivity and negativity behind abandoning media. Within the essay, the reader is able to attain a college point of view, illustrating

Monday, December 16, 2019

Essay on Hiv Free Essays

Home reading. As my qualification paper is devoted to the global health, I decided to analyze 4 newspaper articles from BBC, The Guardian and the NY Times concerning the cure for HIV/AIDS. In all the articles the topic of possible existence of the cure for HIV is discussed. We will write a custom essay sample on Essay on Hiv or any similar topic only for you Order Now They scientists from different world laboratories share their opinion on the right way of creation of this vaccine. It is extremely hard to find the appropriate therapy for patients, because the virus has a tendency to a very rapid mutation. So while the scientists are creating the drug for a patient according to his analyzes, the virus can change in a day and the treatment won’t be effective. Some scientists think that it’s necessary to create a cocktail of many steams of the HIV virus and then create one vaccine. But it will take a very long time and too much many. Moreover the reaction of the patient’s organism can be unpredictable. Other specialists presume that it’s important to pay attention to those patients who carry the neutralizing antibodies in their organisms. Because the cells that produce antibodies have to go through up to 100 mutations before they make neutralizing ones, Dr. Fauci said, a vaccine to induce that would require many shots, given month after month, to â€Å"push† the cells through those mutations. But the problem is that only 20 percent of the infected have the neutralizing antibodies in their organisms. There are two officially registrated cases when a patient didn’t have a virus in his blood after medical treatment. The first one was in Germany, when a patient with a destroyed immune system, induced by his cancer disease, was transplanted with a stem cell from a donor with a rare genetic mutation that resists HIV infection. The second case took place in the US with a new-born baby in a rural hospital, whose mother just received a positive HIV reaction. The treatment continued for 18 months from the first days of life of this little baby-girl. After the treatment the scientists were astonished not to find the signs of the virus in her blood. But unfortunately not everything is so easy because this kind of treatment doesn’t suit to adults. The virus in the adult’s organism has already made a mutation and after several years of being infected the virus will infect all the cells in the body and then hides in the DNA, where it will be impossible to cure. On the other hand, 80 percent of all the infected live in the African countries where the possibilities to be cured and appropriate drugs are extremely poor. To conclude my essay I would like to say that an HIV pandemic has become a serious problem of our world. No one is safe enough not be infected by the virus. Nowadays there’s still no single way of treatment that can heal every patient. But the only thing that the scientists wanted us to remember that HIV virus is easier to prevent than to cure. Scientists use the most sophisticated technologies for eliminating this disease all over the world, but many people still don’t know usual requirements for protecting their health. It’s necessary to understand that your momentary pleasure can worth you a long-life HIV treatment. Internet resources: ) http://www. bbc. co. uk/news/health-21653463 – Analysis: A cure for HIV? By James Gallagher. 2) http://www. bbc. co. uk/news/world-us-canada-21651225 – US HIV baby ‘cured’ by early drug treatment 3) http://www. nytimes. com/2013/04/04/health/aids-vaccine-path-suggested-by-study. html? ref=aids_r=1 – Possible Path to Vaccine for AIDS Is Suggested. By DONALD G. Mcneil Jr. 4) http://www. guardian. c o. uk/society/sarah-boseley-global-health/2012/jul/19/hiv-infection-infectiousdiseases? INTCMP=SRCH – A cure for Aids? How to cite Essay on Hiv, Essays

Saturday, December 7, 2019

Augustus And Alexander The Great Essay Example For Students

Augustus And Alexander The Great Essay Alexander the Great and Augustus, two names that countless people have spoken. Many people have no doubt heard these names; others perhaps have not. Alexander the Great and Augustus were two men who were famous for their accomplishments in ancient times. So, they are similar right? Wrong. The earlier of these two men was Alexander the Great, records indicate that he was born in the summer of 356 B. C. Alexander was the son of Philip II, King of Macedonia, and Olympias. Stories say that on the same day that Alexander was born, the Temple of Diana at Ephesus, which was one of the seven wonders of the ancient world, burned down. This occurrence was supposedly an omen, the force that would destroy Asia had entered the world. Alexander grew to love his tutor almost as much as his father. Alexanders favorite book was the Iliad by Homer, it was a story about some of the things he hoped to do when he got older, such as fight in wars. As a youth Alexander also enjoyed hunting and martial arts. Alexander feared that by the time he became king there would be nothing left for him to conquer. Alexanders first battle came when he was only sixteen. Philip, his father had gone away on a campaign and left Macedonia under the control of Alexander while he was gone. During this time a people rebelled and Alexander was forced to lead an army against their largest city. Alexander won and renamed the city Alexandropolis The road to Alexander becoming king was an odd one, but this is how it goes. Philip and Olympias, Alexanders parents, did not get along well and eventually separated. Philip remarried, but Olympias did not. Olympias, being a jealous, violent and unforgiving person, held a grudge so she instigated a man who already disliked Philip to assassinate him. Ergo Alexander became king of Macedonia at the age of twenty due to the untimely assassination of his father. All of Alexanders accomplishments are too numerous to list, but it would do him justice to simply say that he was a hero of his time and his name is still known throughout much of the world. Unfortunately Alexander the Great died on June 10th, 323 B.C. without many close friends. Apparently the intoxication of power caused him to treat everyone as they were inferior to him. Augustus was supposedly born on September 23rd, 63 B. C. To his parents, Octavius and Atia, he was known as C. Octavius. Most of his early life is unclear due to a very uneventful nineteen years. There is one thing that is documented about him though, he was adopted by Julius Caesar and his name was changed to C. Julius Caesar Octavianus. Augustuss first public appearance came when he was twelve years old, in 51 B.C. His grandmother Julia died and he delivered the eulogy at her funeral. Other than small parts in the government, Augustus was a political nobody up until March 44 B.C., when his great-uncle Julius Caesar was assassinated. Bearing his fathers name, Caesar, Augustus intended to ratify his adoption by Julius Caesar and take what was his, control of Rome. This was a long and grueling process since no one would take him seriously due to his young age. Augustus did all he could to convince the Roman senators and other politicians that he was now the rightful ruler of Rome, but still no one would listen and most shrugged him off like a fly. To assert his seriousness, Augustus gathered an army simply by using the name Caesar. After securing his armys loyalty, he marched on Rome and seized the city with eight legions. Not surprisingly Augustus was soon elected consul. Violence Analysis Essay As with Alexander the Great, Augustuss accomplishments are also too numerous to list, his life story is also too long to tell. Augustus led a very successful life and was arguably the peoples favorite ruler of Rome. In conclusion, contrasting Alexander the Great and Augustus will show .

Saturday, November 30, 2019

The Ancient City Of Pompeii Is Best Known For Being Covered By An Erup

The ancient city of Pompeii is best known for being covered by an erupting volcano and being almost forgotten. From the time the city was rediscovered in the 1700s scientists and archeologists have managed to piece together evidence to show not just how people died but how they lived. We now know that before the eruption of Mt Vesuvius on August 24 79 AD Pompeii was a resort town. From the remains of Pompeii scholars have deducted the socioeconomic, religious and political life of Pompeii's last inhabitants. Pompeii was a city where women declared themselves the equal of men. Women could own land, operate businesses, be priestesses and were often educated. Despite these equalities Pompeiian women were still mostly owned by men and from birth knew their position. New born boys were placed at the father's feet while newborn girls were given straight to the nurse. Most girls were bought up by their mothers at home learning weaving and other domestic skills. Upper-class girls however were taught to read and write either at school or at home by slave tutors. It was believed by some that educated women made better wives and mothers. Literacy amongst the upper class (both women and men) was a symbol of status and respect. One of the most famous Pompeiian artifacts the fresco of the merchant Terentius Neo and his wife, depicts her holding a wax tablet and a stylus. Girls were considered grown up by the age of 14 when marriages were usually arranged by their family with the objective of uniting good families. At this time a woman would leave her father's ownership and become the property of her husband. As many women as possible were kept married and bearing children. Women were expected to be married by the age of 20 and it was law to remarry after the death of ones husband. As at this time in Roman history there were fewer females than males so women could marry and remarry with ease. A woman's major role was to be a good wife and mother. Motherhood was considered the esteemed occupation. In Pompeii women often entered into a business partnership with their husbands. They were allowed to keep profits themselves. It was common for a widow to take over her husband's business. Wives of traders and craftsmen often ran the front of the shop while their husbands made the products or dealt with other aspects of the business. Women could own property and could decide how to administer it. Julia Felix is an example of an independent woman who inherited a large fortune in her own right. Tablets found at Herculaneum (a smaller city destroyed by the same eruption) show that women could buy sell and lease but were not allowed to become bankers. Women in Pompeii worked in, owned and operated many of the taverns, inns and bars, which often served as brothels a topic I will cover later. (more detail) Archeologists have uncovered written evidence recording the role of women in the medical profession. These women's status was recognised by law and their fees were regulated. Many women worked in this profession as midwives, physicians and doctors. Records have also been found mentioning husband and wife medical teams. As Pompeii had a large foreign trade it is not suprising that women from the East came to Pompeii selling luxury items such as dyes, perfumes, clothes and food stuffs. Lower class women also worked in the trades. Some worked independently sewing and mending garments, while others worked as bakery assistants or in the fulling mills. However the status of these women was low like their pay rate. Like in most places female slaves existed in Pompeii. These women performed a wide range of tasks depending on the owner's needs. Apart from household duties some of these slave women operated as nannies or wet nurses while others managed their owner's businesses or worked as labourers. Wealthy women had their own personal attendants which was another duty of these slaves. Eumachia was Pompeii's most prominent woman . She came from a wealthy and respected family and rose to hold a position of unusual importance as a priestess. She was also patroness of the fuller's guild (cleaners, dyers and clothing makers).

Tuesday, November 26, 2019

Greed Essay - Enron and Northern Rock Corporate Collapse The WritePass Journal

Greed Essay - Enron and Northern Rock Corporate Collapse Abstract Greed Essay Enron and Northern Rock Corporate Collapse ). Created as a result of a merger between the North East Building Society and the Northern counties Permanent Building Society and the Rock Building Society, the Northern Rock Building Society was in an ideal position to create and further their own business interests. A key area of concern for investors was the fact that Northern Rock derived its capital from depositors until the deregulation efforts of the 1980’s (Marshall et al, 2012). With the relaxation of oversight, it became possible for entities such as Northern Rock to consider and implement alternate solutions for revenue increase that included heavy investment in the stock market and mortgage industry. Complementing the perception of leadership and dedication to the market were statistics that cited Northern Rock as one of the leading mortgage lenders during the period of the early 2000’s (Mclean and Elkind, 2003). With a wish to capitalize as much as possible on the conditions of the growing market, which i ncluded the American mortgage market prior to 2008, Northern Rock leadership opted to invest heavily in the subprime market that generated so much profit during this period (Dawley et al, 2012). This argument suggests that the old industry region that was home to the company’s operations had a direct impact on the initial success and eventual failure of the Ban. This initial overview demonstrates that there was a real drive to produce revenue on the part of both of these companies, which in turn fuelled their need to succeed at any cost. In both cases, Enron and Northern Rock began with a legitimate business foundation, yet desired a continual increase in power and revenue which led to poor decisions and policy implementation. In a very real way, this brief illustration suggests that the success factor prompted these companies to act in the selfish and rash manner that brought about their downfall. 2.2 Companies 2.2.1 Enron The manner in which leadership creates, endorses and implements a company policy is a critical component to any entities day to day operations (O’Connell, 2004). In this case Enron leadership including Ken Lay, Jeffrey Skilling and Andy Fastow were primarily credited with first leading the company to incredible heights, and then engineering the massive failure due to their own incredible greed. Perhaps a leading indicator of the manner of leadership Ken Lay found appealing lay in his continual support of the oil trading company headed by Borget that was deemed acceptable as long as there was a profit, regardless of method (Swartz and Watkins, 2003). Organizational culture built on greed and corruption will continue to breed these same elements throughout any organization (Solomon et al, 2004). In this case Enron leadership’s goal of creating a nature gas stock exchange was driven by the desire to increase market share and revenue. In the beginning this form of innovatio n and aggressive marketing were deemed acceptable, but with subsequent discoveries of accounts including M. Yass, or My ass, created by Borget there was an acknowledgement of corruption (Fox, 2003). Despite Enron initially endorsing Borget and his practices as the scope of the losses mounted, Ken Lay actively denied any wrong doing, taking advantage of the lack of information that he cultivated. The lack of any serious form of financial oversight allowed Enron to create questionable forms of accounting and bookkeeping that extended their perception of propriety (Solomon, 2004). During deregulation effort of the late twentieth century, there was serious contention on the part of the business community that there was a need to reduce regulation in order to benefit the consumer. Leadership at Enron eagerly campaigned on the notion that deregulation would actively increase the capacity for the worker (Swartz et al, 2003). Blaming regulation for higher electricity the lobbyists were largely successful in their drive to remove any meaningful oversight in the industry. This push included a state by state approach that allowed Enron to utilize their regional positions to great advantage, thereby ensuring a smoother experience (Boje et al, 2004). Skilling created concept of an asset lite strategy, or not actually owning the assets, simply bundling and selling the energy, which in turn provided Enron with a potential method to drastically increase revenue with little to no paper trail (Solomon et al, 2014). The summer of 1998 witnessed a bonanza for Enron as there was a perception of volatility that enabled them to drastically capitalize on the market, leading to the perception that Skilling was a genius (Swartz et al, 2003). During this period following deregulation many of the Enron’s greatest profits were made by employees finding loopholes and exploiting these accounting or business practices to the utmost in order to increase revenue (Arnold and Lange, 2005). Again, this policy of attempting to end run regulation only promotes the false ideal that the company or its employees was smarter than the system. Enron has been credited with employing many questionable accounting techniques during their period of operation in order to bolster expectations (Gordon, 2002). This drive to provide a continuous profit for the company led the leadership to adopt accounting practices that did more to obstruct the revelation of negative data in order to maintain profits. A combination of being at the right place in the form of evolving deregulation and belonging to a culture of greed and corruption created the atmosphere that prompted these increasingly poor accounting practices (Macey, 2003). At the heart of Enron’s trouble rests a lack of strong corporate governance and an increasing disregard for public regulation and investor welfare (Vinten, 2002). Beginning with methods that merely bent the rules, the accounting practices at Enron had to become larger in order to account for the burgeoning debt that was being created (Parker, 2005). This form of creative bookkeeping suggests that there was a strong knowledge that operations at the company were not only limited in scope, but there was a need to make as much money as possible at any cost. This form of accounting was illustrated in the Mark to Market accounting expansion that served to misinform investors on accurate valuations, thereby increasing Enron’s value (Shelly, 2011). While essentially legal, the stretching and reinterpretation of the rules allowed Enron to create a wide margin of profit on paper. Further, the use of limited partnership and outside parties increased the level of secrecy and uncert ainty that surrounded every Enron valuation process including the Credit Default Swaps and Collateralised Debt Obligations (Swartz et al, 2010). These measures became necessary in order to provide the company with the means to maintain expectations, bonuses and pensions. From the outset, Enron was out to make money (Jennings, 2002). Each innovation was aimed at delivering the most revenue to the leadership, not the investors. Each decision and example of culture illustrates the greed and ambition of those behind the Enron debacle. In the accounting profession a fair presentation is regarded as an accurate representation of a working operation, creative accounting is identified as flexible practice that best serves the interests of the clients, with fraudulent accounting made up of those that blatantly step outside the law (Buckley, 2011). Enron has displayed an initial fair value accounting method that degenerated into a fraudulent accounting method with evidence that paints a portrait of unrestrained greed, propped up by poor regulation and aided by tacit indulgence of success. There is a clear need to conduct ethical business in order to sustain opportunities (Gill, 2009). This was does not seem to have happened in the case of Enron. This evidence suggests that no matter how Enron had attempted to compensate for poor practice, there could have been no other plausible outcome than failure. 2.2.2 Northern Rock Initially specialising in residential and commercial mortgages Northern Rock quickly became an industry frontrunner under the leadership of Adam Applegarth in 2001(Marshall et al, 2012). This form of leadership actively profited from the prior methods of operation, utilizing the past profit to invest in the present stock market, primarily the growing sector mortgage securities. Linsley and Slack (2013) argue that prior to 2001 Northern Rock projected a ethic of care, which in turn was cited for the intense feelings of betrayal following the collapse of the Bank. There was a sense that leadership of the Bank was overly ambitious in their efforts to capitalize on their existing assets by putting all of the previous savings at risk (Marshall et al, 2012). This suggests that the clientele of Northern Rock expected their leadership to take greater care and substantially less risk. Three primary points including Northern Rocks previous existence as a building society, the local or regional nature of the bank and the appearance of the Northern Rock Foundation bolstered the perception of a caring institution that was out to serve the populace (Linsley, 2013). With the change in policy brought about by a new leader, there was a palpable sense of anger and disillusionment with both Northern Rock and the direction of their investments. It very much seems as if was this effort from the previous eras, the caring and attentive attitude that served to amplify the negativity as the bank began to crumble under the weight of poor leadership and management. With the onset of the subprime collapse in the United States and the massive international recession that followed, it became impossible for Northern Rock to meet its financial obligations, which in turn prompted the failure of the bank (Linsley et al, 2013). The innovative nature of the investment pattern such as the ‘Together’ investment scenario set out by Northern Rock was a stark departure from the mutualisation process of previous eras (Nesvetailova and Palan, 2013). With the ambitious investment goals set out by Applegarth, it became necessary for the bank to move from the 75% per cent income from depositors to a much more modest 25% with the remaining balance being accounted for by investment and loans (Nesvetailova, 2013). As reflected by consumer discontent with the policy decision, the entire process became disliked and heavily blamed for the eventual run on the bank. The new pattern of investment required Northern Rock to pursue securitization in a fashion that created special purpose vehicles in order to allow these securities to become liquid and thereby tradable (Deegan and Unerman, 2011). This process allowed Northern Rock to obscure their accurate worth by essentially hiding these accounts offshore (Scott, 20 08). With an accounting practice that was creative and innovative at the time, Northern Rock utilized this method in order to expand their projected revenues, thereby further enhancing their operations. In order to continue lending at the bank level, mortgages could be sold, or further funds borrowed on the mortgage securities, which in turn kept Northern Rock liquid initially (Gaffikin, 2008). This culture of greed no matter the cost fuelled the leadership drive to not only continue this practice, but expand it to incorporate up to 50 per cent of the Northern Rock operational platform (Deegan et al, 2011). Depending too heavily on any volatile market has the potential to put any operation at risk at any time (Domhoff, 2013). This evidence suggests that Northern Rock was substantially impacted by the subprime mortgage collapse and the inability to borrow money from the lenders. With a business model that was directly dependant on the interbank lending process, this sudden halt of funding was a severe and crippling blow, only enhanced by the need for the bank to have these funds on hand in order to shore up fading public support. The perception of dismay and lack of trust only increased as Northern Rock found itself undercut by rivals with better loan rates (Deegan et al, 2011). With no ready pool of funding available and no one to purchase the securities, some of which were frozen due to questionable value, the internal situation deteriorated to the point of collapse nearly overnight. Regulation and lack of effective constraints in the financial process has been cited as an element of the Northern Rock collapse (Nesvetailova, 2013). There was a sustained feeling that the explosive pattern of growth quickly overwhelmed any regulation effort, which in turn led to unsatisfactory testing and performance assessments. The caring culture that once benefited operations at Northern Rock was transformed to increased discontent with the announcement of the government bailout, which in turn fuelled the run on the bank (Deegan, et al, 2011). This evidence suggests that it was the very elements of safe investment that had given Northern Rock the opportunity for investment initially and that the prudent course of action would have been to maintain a pattern of considerate investment rather than an all-out bid for industry leadership. With the nationalization of the Northern Rock entity, the government became the only remaining investor, shouldering the substantial loss that had once been a thriving multi-generational company (Deegan et al, 2011). 3 Conclusion Both Enron and Northern Rock exhibited similar and distinctly different traits as this study as illustrated. Each of the companies possessed leadership that was very focused on success and revenue. This culture of greed and ambition served to initially propel both companies into positions of leadership which was demonstrated by their drastic increase in value and recognition during the early phases. While both companies began with fair trade accounting methods, there were driving forces behind each entities operation after that period. Enron began to employ outright fraud in their accounting practices, in some cases going so far as to completely create fictional assets in order to maintain viability. In contrast Northern Rock employed creative accounting methods to legally utilize their existing assets to invest in the subprime mortgage market. While Northern Rocks leadership made poor choices, there was no element of blatant fraud as perpetrated by Enron. There was a distinct organisational culture gap between Enron and Northern Rock. The ethic of care environment enacted a perception of interest in the consumers of Northern Rock aided the long term business efforts and sustained operations over generations. Enron was focused on profit and the means to increase profit from the point of inception, creating management techniques that encouraged a liberal interpretation of any regulation, placing revenue generation above the need to present a high level of honesty during operation. A similarity that binds both companies together was the leadership intention to use the open market to increase their net assets. Further, there was a directed action by both management institutions to hide the debt from the consumer and investors in order to prop up their image and brand. Once considered pioneering, creative and innovative the combination of deregulation, massive growth and complex rules provided a wide range of opportunities that these compa nies chose to exploit for their own gain. Each of these entities found itself in the position that required them to borrow money in order to meet expectations. Lacking the means to borrow money was the death knell for both of these enterprises. Northern Rock found itself caught in the subprime mortgage collapse and Enron found itself the focus of scrutiny concerning their assets and true valuation. In the end both Enron and Northern Rock exhibited poor policy decision as well as experiencing bad luck. While there is no guarantee in the business world, large scale deception and fraud will eventually come back to roost. It was the utilization of questionable practice, greed and ambition that served to derail these companies, teaching us all that honesty is indeed the best policy. 4 References Arnold, B. and De Lange, P. 2004. Enron: an examination of agency problems.  Critical Perspectives on Accounting, 15 (6), pp. 751765. Boje, D. M., Rosile, G. A., Durant, R. A. and Luhman, J. T. 2004. Enron spectacles: A critical dramaturgical analysis.  Organization Studies, 25 (5), pp. 751774. Buckley, A. 2011.  Financial crisis. Harlow, England: Financial Times Prentice Hall. Dawley, S., Marshall, N., Pike, A., Pollard, J. and Tomaney, J. 2012. Continuity and evolution in an old industrial region: the labour market dynamics of the rise and fall of Northern Rock.  Regional Studies, (ahead-of-print), pp. 119. Deegan, C. and Unerman, J. 2011. Financial Accounting Theory: European Edition, 2nd Edition, McGraw Hill. New York, NY. Domhoff, G. W. 2013.  The myth of liberal ascendancy. Boulder: Paradigm Publishers. Fox, L. 2003.  Enron. Hoboken, N.J.: Wiley. Gaffikin, M. 2008. Accounting Theory: Research, Regulation and Accounting Practice, Pearson Education. New York, NY. Gill, M. 2009, Accountant’s Truth: Knowledge and Ethics in the Financial World, Oxford, Oxford University Press. 1(1). Gordon, J. N. 2002. What Enron means for the management and control of the modern business corporation: some initial reflections.  The University of Chicago Law Review, 1(1) pp. 12331250. Gordon, R. W. 2002. New Role for Lawyers: The Corporate Counselor after Enron, A.  Conn. L. Rev., 35 p. 1185. Jennings, M. M. 2002. Primer on Enron: Lessons from a Perfect Storm of Financial Reporting, Corporate Governance and Ethical Culture Failures, A.  Cal. WL Rev., 39 p. 163. Khan, M. A. 2011. The Reasons Behind a Corporate Collapse: A Case Study of Enron.Available at SSRN 1923277. Linsley, P. M. and Slack, R. E. 2013. Crisis management and an ethic of care: the case of Northern Rock Bank.  Journal of business ethics, 113 (2), pp. 285295. Macey, J. R. 2003. Efficient capital markets, corporate disclosure, and Enron.  Cornell L. Rev., 89 p. 394. Marshall, J., Pike, A., Pollard, J. S., Tomaney, J., Dawley, S. and Gray, J. 2012. Placing the run on Northern Rock.  Journal of Economic Geography, 12 (1), pp. 157181. Mclean, B. and Elkind, P. 2003.  The smartest guys in the room. New York: Portfolio. Nesvetailova, A. and Palan, R. 2013. Minsky in the Shadows Securitization, Ponzi Finance, and the Crisis of Northern Rock.  Review of Radical Political Economics, 45 (3), pp. 349368. O’Connell, B. T. 2004. Enron. Con:â€Å"He that filches from me my good name†¦ makes me poor indeed†.  Critical Perspectives on Accounting, 15 (6), pp. 733749. Parker, L. D. 2005. Corporate governance crisis down under: post-Enron accounting education and research inertia.  European Accounting Review, 14 (2), pp. 383394. 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Friday, November 22, 2019

Most Important Themes in The Crucible, Analyzed

Most Important Themes in The Crucible, Analyzed SAT / ACT Prep Online Guides and Tips The Crucible remains a staple of high school English because it is rich in themes that are consistently relevant to human beings regardless of time period. But these themes aren't always easy to explain or dissect in the context of the play, and they can be even harder to develop into essays. Read on for an overview of what a theme is, a list of important themes in The Crucible with specific act-by-act details, and a summary of how to use this information in your essays and other assignments. What’s a Theme? Why Are Themes Important? Before I get into the nitty-gritty of howThe Cruciblethemes are expressed, let's do a quick overview of what themes are and why they matter. A theme is a central topic that is addressed by a work of literature. Themes can be expressed in many different ways. In the case of a play like The Crucible, themes are revealed mainly through the dialogue of the characters. They're also revealed though events in the plot. Themes tell us what the purpose of the work is. What is the writer attempting to convey to the viewer? The Crucible's themes have lent the play artistic longevity because they're more or less universal to the human experience across time.If you hope to write an awesome essay onThe Crucible, you should have extensive knowledge of its themes. If you can show that you understand the themes of a work of literature, you've clearly mastered the material on a deeper level.In the next few sections,I'll take a look at a group of broad themes inThe Crucible, including irony, hysteria, reputation, and power. Theme 1: Irony First off, what is irony? Many people are under the impression that irony is just when something happens that you don't expect (or that you really hoped wouldn't happen). In reality, true irony only happens when a situation is the exact opposite of what you would expect.The classic example of an incorrect use of irony is in Alanis Morisette's song "Ironic" when she says that "rain on your wedding day" is an example of irony. Well, it's not. Sure, you don't expect or want rain, but it's not the polar opposite of getting married. A real example of irony would be if two married guests got into a fight about going to your wedding that ended in their divorce. Irony abounds throughout The Crucibleascharacters who believe they are combating the Devil’s handiwork actually perform it themselves.The ruthlessness with which the suspected witches are treated is aimed at purifying Salem, but it achieves the opposite outcome. The town slips further and further into chaos and paranoia until it reaches a point of total devastation.As Reverend Hale says to Danforth, â€Å"Excellency, there are orphans wandering from house to house; abandoned cattle bellow on the highroads, the stink of rotting crops hangs everywhere, and no man knows when the harlots’ cry will end his life - and you wonder yet if rebellion’s spoke?† (Act 4, pg. 121). The court's attempts to preserve Puritan morality by arresting and executing accused witches ironically lead to the removal of the most virtuous people from society. These people are the only ones who refuse to throw out false accusations or lie about involvement in witchcraft, so they find themselves condemned (this is the fate of Rebecca Nurse). This means that much of the population that remains is comprised of the power-hungry, the selfish, and the cowardly. Act 1 There are several ironies in Act 1 that center around Abigail Williams. In her conversation with John, Abigail claims that he helped her realize all the lies she was told by two-faced people in Salem who only publicly adhere to the conventions of respectable society (pg. 22).The irony is that, in the face of John’s rejection, Abigail turns around and creates her own lies soon after that give her increased control over the society she resents.She puts on a fake front to get what she wants, ultimately creating a persona that’s even worse than that of the hypocrites she criticizes.Abigail’s many deceptions are sometimes laughably ironic as she chastises others for lying even as she is spinning falsehoods.In this act, she yells â€Å"Don’t lie!† at Tituba immediately before she tells some of the most damning lies of the play accusing Tituba of witchcraft (â€Å"She comes to me while I sleep; she’s always making me dream corruptions!† pg. 4 1). Hale also makes some unintentionally ironic statements in Act 1 when he begins his investigation.He claims that they must not jump to conclusions based on superstition in their investigation of Betty’s affliction.Hale is convinced that a scientific inquiry based only on facts and reality can be conducted to detect a supernatural presence. This is ironic becausesearching for "the Devil's marks" as the potential cause of an ailment is inherently superstitious. Once the accusations begin, Parris initiates an ironic thought process that persists throughout The Crucible: â€Å"You will confess yourself or I will take you out and whip you to your death, Tituba!† (pg. 42).This â€Å"confess or die† mindset is one of the central ironies of the play.The whole purpose of a trial is to hear both sides of the story before a verdict is reached.In telling people they must confess to their crimes or be hanged, the officials show that they have already decided the person is guilty no matter what evidence is provided in their defense. Act 2 In Act 2, John Proctor’s guilt over his affair with Abigail is demonstrated through an ironic exchange with Reverend Hale. When Hale asks him to recite his commandments, the only one he forgets is adultery.This is also the commandment that he has violated most explicitly, so you’d think it would be the first one to spring to mind.The fact that he forgets only this commandment shows that he is trying extremely hard to repress his guilt. This act also sees the irony of Hale discussing the â€Å"powers of the dark† that are attacking Salem (pg. 61).This is irony of the same type that I discussed in the overview of this theme.Hale doesn’t realize that his own fears and suspicions are the real powers of the dark.Salem is under attack from the hysteria that is encouraged by the same people who seek to keep imaginary supernatural demons at bay. Act 3 In Act 3, Hale continues to make ironic statements about the existence of concrete proof for the accusations of witchcraft.While touting his holy credentials, he claims that he â€Å"dare not take a life without there be a proof so immaculate no slightest qualm of my conscience may doubt it† (pg. 91).This â€Å"immaculate proof† that has led him to sign numerous death warrants is nothing but the fabrications of teenage girls and other townspeople seeking petty revenge.These types of statements made by Hale earlier in the play become even more ironic in Act 4 when he realizes he made a horrible mistake by trusting the â€Å"evidence† that was presented to him. Abigail’s presence is always rife with irony in The Crucible, as she constantly chastises others for sins she herself has committed.When she is brought in for questioning and claims to see Mary’s familiar spirit, she says â€Å"Envy is a deadly sin, Mary.†Abigail herself has acted out of envy for the entire play.Her jealousy of Elizabeth Proctor’s position as John’s wife has led her to attempted murder, first by the charm in the woods and now by accusing Elizabeth of witchcraft. Elizabeth is a victim of cruel irony in this Act when she is summoned to testify on the reasons why she dismissed Abigail from her household.John has already confessed that the affair was the reason for Abigail’s dismissal.John tells the judge to summon Elizabeth to back him up because he knows she always tells the truth.Ironically, though she is normally honest to a fault, in this situation Elizabeth decides to lie to preserve John’s reputation, not knowing he has already confessed.This well-intentioned mistake seals both of their fates. Act 4 Act 4 is Danforth’s turn to shine in the irony department.He is appalled by Elizabeth’s lack of emotion when he asks her to help the court get a confession out of her husband (pg. 123).This attitude comes from a man who has shown no remorse for condemning people to death throughout the play.He refers to John’s refusal to confess as â€Å"a calamity,† looking past his own involvement in the larger calamity of the conviction that led John to this point. Later in Act 4, Danforth becomes angry at the implication that John’s confession may not be the truth. He insists,â€Å"I am not empowered to trade your life for a lie† (pg. 130).Of course, we know that Danforth has been trading people’s lives for lies this whole time.He has sentenced people to death based on lies about their dealings in black magic, and he has accepted other false confessions from those who would rather lie than be executed.To Danforth, anything that doesn’t confirm that he was right all along is a lie. Discussion Questions Here are a few questions related to this theme that you can use to test your grasp of irony and its significance as a theme in The Crucible: How is Parris’ fate in act 4 ironic when considering his role in the events of the play? Why do certain characters seem to be blind to the irony of their actions (Abigail, Danforth)? Why is hypocrisy so common in repressive communities like Salem? Explain the irony of Hale’s position at the end of the play as compared to his actions at the beginning. Hale wrongly assumes that his academic mindset will save him from jumping to the wrong conclusions in the witchcraft investigation. Ironically, he is the first to demand a confession from Tituba based on Abigail's dramatic but false testimony. Theme 2: Hysteria The thematic significance of hysteria builds quickly as accusations of witchcraft proliferate throughout Salem.The power of collective hysteria ultimately becomes insurmountable because it grows larger than the influence of the few rational voices in the community. The seeds are planted in Act 1, when Abigail is questioned about her activities in the woods and ends up accusing Tituba of witchcraft to avoid punishment.The town, already primed with rumors of black magic, is quickly willing to accept that the first few women who are accused are involved in black magic because they’re beggars and slaves.No one considers that the accusers are lying, partially because they’re seen as innocent children and partially because many â€Å"witches† confess to avoid the death penalty. Armed with the false proof of these coerced confessions, the court officials aggressively persecute anyone who is accused.Hysteria blinds the people of Salem to reason as they become convinced that there is a grand Satanic plot brewing in town, and they must not hesitate to condemn anyone who could be involved.This is a lesson in how fear can twist perceptions of reality even for those who consider themselves reasonable under normal circumstances. Act 1 Even before Abigail makes accusations, rumors of witchcraft have morphed into accepted truths in the minds of the more superstitious members of the community.Ann Putnam jumps at any opportunity to blame supernatural forces for the deaths of her children.Ann’s extreme conclusions are gradually accepted because rational people are too afraid to challenge the consensus and risk bringing accusations upon themselves.Hale’s involvement is taken to mean that there must be a supernatural element to Betty’s illness.Rational explanations are ground up by the drama of the rumor mill, and people see only what they want to see (whatever keeps them in the good graces of society andmakes them feel the best about themselves) in situations that don't appear to have easy explanations. The madness begins in earnest with Abigail’s claim that Tituba and Ruth were conjuring spirits in the woods.Parris is extremely dismayed by this revelation because of the damage it will do to his reputation.Thomas Putnam tells him to â€Å"Wait for no one to charge you - declare it yourself.†Parris must rush to be the first accuser so he can place himself beyond reproach. It's atoxic strategy that causes panic to spread quickly and fear for one’s life to take the place of rationality.Tituba is pressured to confess and name the names of other â€Å"witches† to avoid execution, which leads to Abigail and Betty’s accusations, now validated by a coerced confession.This vicious cycle continues to claim the lives of more and more people as the play progresses. Act 2 By Act 2, there are nearly 40 people in jail accused of witchcraft.Many people confess when threatened with execution, and this only heightens the paranoid atmosphere.The authorities ignore any inconvenient logical objections to the proceedings because they, too, are swept up in the madness. The hysterical atmosphere and the dramatic performances of some of the accusers cause people to believe they have seen genuine proof of witchcraft.Each new false confession is thrown onto the pile of â€Å"evidence† of a grand Satanic plot, and as the pile grows larger, the hysteria surrounding it is fed generously. This hysteria-based â€Å"evidence† of witchcraft includes the discovery of the poppet in the Proctor household with a needle in it.Elizabeth's side of the story is disregarded because Abigail’s testimony is far more dramatic."She sat to dinner in Reverend Parris's house tonight, and without word nor warnin' she falls to the floor. Like a struck beast, he says, and screamed a scream that a bull would weep to hear. And he goes to save her, and, stuck two inches in the flesh of her belly, he draw a needle out." (Cheever pg. 71). The idea that a witch's familiar spirit is capable of stabbing people is too scary for the superstitious and now hysterical people of Salem to give Elizabeth the benefit of the doubt. No one even considers Mary's statement about sticking the needle in herself. In this environment, whoever yells the loudest seems to get the most credibility. Act 3 The depths of the hysteria that has gripped Salem are revealed in Act 3 when John finally confronts the court. Danforth makes a shocking argument defending the way the trials have been conducted, insisting that only the victim’s testimony can serve as reliable evidence in this type of trial.He is completely oblivious to the fact that the â€Å"victims† might be lying.The court refuses to challenge anyone who claims to have been afflicted. When the petition testifying to the good character of the accused women is presented, the reaction from Danforth, Hathorne, and Parris is to arrest the people who signed it rather than considering that this might indicate that the women are innocent.Danforth is convinced that â€Å"there is a moving plot to topple Christ in the country!† and anyone who doubts the decisions of the court is potentially involved.They so fear the devilish consequences of challenging the accusers that they’re willing to take them at their word and ignore any defenses the accused have to offer.Nowhere is there any consideration of ulterior motives. The power of mass hysteria is further revealed when Mary is unable to faint outside of a charged courtroom environment.She believed she had seen spirits earlier because she was caught up in the delusions of those around her.Abigail distracts the judges from any rational investigation in this act by playing into this hysteria.Danforth, who has the most authority, is also the most sold on her act, and it only takes a few screams to persuade him that he’s in the presence of witchcraft.This leads to Mary’s hysterical accusation of Proctor after she finds herself targeted by the other girls and about to be consumed by the hysteria herself if she doesn’t contribute to it. Act 4 Danforth continues to demonstrate the effects of hysteria in act 4 even after things have died down a bit in Salem and there have been rumblings of discontent about the court’s actions.As John gives his confession, Danforth says to Rebecca Nurse â€Å"Now, woman, you surely see it profit nothin’ to keep this conspiracy any further. Will you confess yourself with him?† (pg. 129)He is still convinced that all the prisoners are guilty and is determined to force them to admit their guilt. Danforth also becomes frustrated with Proctor when he won’t name names in his confession: â€Å"Mr. Proctor, a score of people have already testified they saw [Rebecca Nurse] with the Devil† (pg. 130).Danforth insists that John must know more about the Devil's dealings than he has revealed.Though Rebecca Nurse's involvement has already been corroborated by other confessors, Danforth demands to hear it from John to confirm that John is fully committed to renouncing his supposed ties to Satan. Discussion Questions Here are a few questions about hysteria to consider now that you've read a summary of how this theme was expressed throughout the plot of the play: How does the hysteria in the play get started? What are some of the factors that feed the panic and suspicion in Salem, and why are officials (like Danforth) unable or unwilling to listen to reason? Is there any character besides John Proctor that represents the voice of common sense amidst the madness? Why is Cheever both astonished and afraid when he finds the poppet with the needle in it? Why is everyone so quick to believe Abigail’s story? Danforth explains that witchcraft is an invisible crime and that only the victims are reliable. How does this philosophy perpetuate hysteria? Even though there is significant reason to believe Abigail is lying about Elizabeth's familiar spirit stabbing her, the frenzied investigators ignore testimony that challenges their chosen witchy narrative. Theme 3: Reputation Concern for reputation is a theme that looms large over most of the events in The Crucible.Though actions are often motivated by fear and desires for power and revenge, they are also propped up by underlying worries about how a loss of reputation will negatively affect characters' lives.John’s concern for his reputation is strong throughout the play, and his hesitation to reveal Abigail’s true nature is a product of his own fears of being labeled an adulterer. Once there have been enough convictions, the reputations of the judges also become factors. They are extremely biased towards believing they have made the correct sentencing decisions in court thus far, so they are reluctant to accept new evidence that may prove them wrong.The importance placed on reputation helps perpetuate hysteria because it leads to inaction, inflexibility, and, in many cases, active sabotage of the reputations of others for selfish purposes. The overall message is that when a person's actions are driven by desires to preserve favorable public opinion rather than do the morally right thing, there can be extremely dire consequences. Act 1 Reverend Parris' concerns about his reputation are immediately evident in Act 1. Parris initially insists that there are â€Å"no unnatural causes† for Betty’s illness because he fears that he will lose favor with the townspeople if witchcraft is discovered under his roof.He questions Abigail aggressively because he’s worried his enemies will learn the full story of what happened in the woods first and use it to discredit him.Parris is very quick to position himself on the side of the accusers as soon as Abigail throws the first punch, and he immediately threatens violence on Tituba if she doesn't confess (pg. 42).He appears to have no governing system of morality. His only goal is to get on the good side of the community as a whole, even in the midst of this bout of collective hysteria. Abigail also shows concern for her reputation.She is enraged when Parris questions her suspicious dismissal from the Proctor household.Abigail insists that she did nothing to deserve it and tries to put all the blame on Elizabeth Proctor.She says, "My name is good in the village! I will not have it said my name is soiled! Goody Proctor is a gossiping liar!" (pg. 12) The first act of The Crucibleclearly establishes the fact that a bad reputation can damage a person’s position in this society severely and irreparably. Act 2 In this act, we learn more details about the accused that paint a clearer picture of the influence of reputation and social standing on the patterns of accusations.Goody Good, an old beggar woman, is one of the first to be named a witch. It’s easy for more respectable citizens to accept that she’s in league with the Devil because she is an "other" in Salem, just like Tituba.When Abigail accuses Elizabeth, a respected farmer’s wife, it shows that she is willing to take big risks to remove Elizabeth from the picture.She’s not a traditionally accepted target like the others (except in her susceptibility as a woman to the misogyny that runs rampant in the play). In Act 2, the value of reputation in Salem starts to butt heads with the power of hysteria and fear to sway people’s opinions (and vengeance to dictate their actions).Rebecca Nurse, a woman whose character was previously thought to be unimpeachable, is accused and arrested.This is taken as evidence that things are really getting out of control ("if Rebecca Nurse be tainted, then nothing's left to stop the whole green world from burning." Hale pg. 67).People in power continue to believe the accusers out of fear for their own safety, taking the hysteria to a point where no one is above condemnation. At the end this act, John Proctor delivers a short monologue anticipating the imminent loss of the disguises of propriety worn by himself and other members of the Salem community.The faces that people present to the public are designed to garner respect in the community, but the witch trials have thrown this system into disarray.Proctor’s good reputation is almost a burden for him at this point because he knows that he doesn’t deserve it. In a way,John welcomes the loss of his reputation because he feels so guilty about the disconnect between howhe is perceived by others and the sins he has committed. Act 3 John Proctor sabotages his own reputation in Act 3 after realizing it's the only way he can discredit Abigail.This is a decision with dire consequences in a town where reputation is so important, a fact that contributes to the misunderstanding that follows.Elizabeth doesn’t realize that John is willing to sacrifice his reputation to save her life.She continues to act under the assumption that his reputation is of the utmost importance to him, and she does not reveal the affair. This lie essentially condemns both of them. Danforth also acts out of concern for his reputations here. Hereferences the many sentencing decisions he has already made in the trials of the accused. If Danforth accepts Mary’s testimony, it would mean that he wrongly convicted numerous people already. This fact could destroy his credibility, so he is biased towards continuing to trust Abigail.Danforth has extensive pride in his intelligence and perceptiveness. This makes him particularly averse to accepting that he's been fooled by a teenage girl. Act 4 Though hysteria overpowered the reputations of the accused in the past two acts, in act 4 the sticking power of their original reputations becomes apparent.John and Rebecca’s solid reputations lead to pushback against their executions even though people were too scared to stand up for them in the midst of the trials.Parris begs Danforth to postpone their hangings because he fears for his life if the executions proceed as planned.He says, â€Å"I would to God it were not so, Excellency, but these people have great weight yet in the town† (pg. 118). However, this runs up against Danforth’s desire to preserve his reputation as a strong judge.He believes that â€Å"Postponement now speaks a floundering on my part; reprieve or pardon must cast doubt upon the guilt of them that died till now. While I speak God’s law, I will not crack its voice with whimpering† (pg. 119).Danforth’s image is extremely valuable to him, and he refuses to allow Parris’ concerns to disrupt his belief in the validity of his decisions. In the final events of Act 4, John Proctor has a tough choice to make between losing his dignity and losing his life. The price he has to pay in reputation to save his own life is ultimately too high.He chooses to die instead of providing a false confession because he doesn’t think life will be worth living after he is so disgraced. As he says,â€Å"How may I live without my name? I have given you my soul; leave me my name!† (pg. 133) Discussion Questions Here are a few discussion questions to consider after you've read my summary of how the theme of reputation motivates characters and plot developments in The Crucible: How are characters’ behaviors affected by concern for their reputations? Is reputation more important than truth? Why doesn’t John immediately tell the court that he knows Abigail is faking? How does Parris’ pride prevent him from doing anything to stop the progression of events in the play? Why does Mary Warren warn John about testifying against Abigail? Why does he decide to do so anyways? Why does John decide to ruin his reputation in Act 3 by confessing to the affair? How is the arrest of Rebecca Nurse a sign that the hysteria in Salem has gotten out of control? How does reputation influence who is first accused of witchcraft? If you're an old beggar woman who sometimes takes shelter in this creepy shack, you better believe these jerks are gonna turn on you as soon as anyone says the word "witch." Theme #4: Power and Authority The desire to preserve and gain power pervadesThe Crucible as the witch trials lead to dramatic changes in which characters hold the greatest control over the course of events.Abigail’s power skyrockets as the hysteria grows more severe.Where before she was just an orphaned teenager, now, in the midst of the trials, she becomes the main witness to the inner workings of a Satanic plot.She has the power to utterly destroy people’s lives with a single accusation because she is seen as a victim and a savior. The main pillars of traditional power are represented by the law and the church.These two institutions fuse together in The Crucible to actively encourage accusers and discourage rational explanations of events. The girls are essentially given permission by authority figures to continue their act because they are made to feel special and important for their participation.The people in charge are so eager to hold onto their power that if anyone disagrees with them in the way the trials are conducted, it is taken as a personal affront and challenge to their authority. Danforth, Hathorne, and Parris become even more rigid in their views when they feel they are under attack. Act 1 As mentioned in the overview, religion holds significant power over the people of Salem.Reverend Parris is in a position of power as the town's spiritual leader, but he is insecure about his authority.He believes there is a group of people in town determined to remove him from this position, and he will say and do whatever it takes to retain control.This causes problems down the line as Parris allows his paranoia about losing his position to translate into enthusiasm for the witch hunt. Abigail, on the other hand, faces an uphill battle towards more power over her situation.She is clearly outspoken and dominant, but her initial position in society is one of very little influence and authority.One path to higher standing and greater control would be in becoming John Proctor’s wife.When she can’t get John to abandon Elizabeth for her, she decides to take matters into her own hands and gain control through manipulating the fears of others. Abigail accuses Tituba first because Tituba is the one person below her on the ladder of power, so she makes an easy scapegoat. If Tituba was permitted to explain what really happened, the ensuing tragedy might have been prevented.No one will listen to Tituba until she agrees to confirm the version of events that the people in traditional positions of authority have already decided is true, a pattern which continues throughout the play.Tituba is forced to accept her role as a pawn for those with greater authority and a stepping stone for Abigail’s ascent to power. Act 2 By Act 2, there have been notable changes in the power structure in Salem as a result of the ongoing trials.Mary Warren’s sense of self-importance has increased as a result of the perceived value of her participation in court.Elizabeth notes that Mary's demeanor is now like that of â€Å"the daughter of a prince† (pg. 50).This new power is exciting and very dangerous because it encourages the girls to make additional accusations in order to preserve their value in the eyes of the court. Abigail, in particular, has quickly risen from a nobody to one of the most influential people in Salem.Abigail’s low status and perceived innocence under normal circumstances allow her to claim even greater power in her current situation.No one thinks a teenage orphan girl is capable of such extensive deception (or delusion), so she is consistently trusted.In one of the most well-known quotes in the play, John Proctor angrily insists that â€Å"the little crazy children are jangling the keys of the kingdom† (pg. 73), meaning the girls are testing out the extent of the chaos they can create with their newfound power. Act 3 In Act 3, Abigail’s power in the courthouse is on display.She openly threatens Danforth for even entertaining Mary and John's accusations of fraud against her. Though Danforth is the most powerful official figure in court, Abigail manipulates him easily with her performance as a victim of witchcraft. He's already accepted her testimony as evidence, so he is happy for any excuse to believe her over John and Mary.John finally comes to the realization that Mary's truthful testimony cannot compete with the hysteria that has taken hold of the court.The petition he presents to Danforth is used as a weapon against the signers rather than a proof of the innocence of Elizabeth, Martha, and Rebecca. Abigail's version of events is held to be true even after John confesses to their affair in a final effort to discredit her.Logic has no power to combat paranoia and superstition even when the claims of the girls are clearly fraudulent.John Proctor surrenders his agency at the end of Act 3 i n despair at the determination of the court to pursue the accusations of witchcraft and ignore all evidence of their falsehood. Act 4 By Act 4, many of the power structures that were firmly in place earlier in the play have disintegrated.Reverend Parris has fallen from his position of authority as a result of the outcomes of the trials.He is weak and vulnerable after Abigail's theft of his life's savings, and he’s even facing death threats from the townspeople as a result of John and Rebecca's imminent executions.In Act 1 he jumped on board with the hysteria to preserve his power, but he ended up losing what little authority he had in the first place (and, according to Miller's afterward, was voted out of office soon after the end of the play). The prisoners have lost all faith in earthly authority figures and look towards the judgment of God.The only power they have left is in refusing to confess and preserving their integrity. In steadfastly refusing to confess, Rebecca Nurse holds onto a great deal of power.The judges cannot force her to commit herself to a lie, and her martyrdom severely damages their legitimacy and favor amongst the townspeople. Discussion Questions Here are some discussion questions to consider after reading about the thematic role of the concepts of power and authority in the events of the play: How do the witch trials empower individuals who were previously powerless? How does Reverend Hale make Tituba feel important? Compare and contrast three authority figures in this drama: Hale, Danforth, and Parris. What motivates their attitudes and responses toward the witch trials? What makes Danforth so unwilling to consider that the girls could be pretending? Why does Mary Warren behave differently when she becomes involved in the trials? How do the actions of authority figures encourage the girls to continue their accusations and even genuinely believe the lies they’re telling? Mary Warren when she comes back from Salem in Act 2 A Quick Look at Some Other The CrucibleThemes These are themes that could be considered subsets of the topics detailed in the previous sections, but there's also room to discuss them as topics in their own right. I'll give a short summary of how each plays a role in the events of The Crucible. Guilt The theme of guilt is one that is deeply relevant to John Proctor's character development throughout the play. John feels incredibly ashamed of his affair with Abigail, so he tries to bury it and pretend it never happened. His guilt leads to great tension in interactions with Elizabeth because he projects his feelings onto her, accusing her of being judgmental and dwelling on his mistakes. In reality, he is constantly judging himself, and this leads to outbursts of anger against others who remind him of what he did (he already feels guilty enough!). Hale also contends with his guilt in act 4 for his role in condemning the accused witches, who he now believes are innocent. There's a message here about the choices we have in dealing with guilt. John attempts to crush his guilt instead of facing it, which only ends up making it an even more destructive factor in his life. Hale tries to combat his guilt by persuading the prisoners to confess, refusing to accept that the damage has already been done. Both Hale and Proctor don't want to live with the consequences of their mistakes, so they try to ignore or undo their past actions. Misogyny and Portrayal of Women Miller's portrayal of women in The Crucible is a much-discussed topic. The attitudes towards women in the 1950s, when the play was written, are evident in the roles they're given. The most substantial female character is Abigail, who is portrayed as a devious and highly sexualized young woman. She is cast as a villain. Then, on the other end of the spectrum, we have Rebecca Nurse. She is a sensible, saintly old woman who chooses to martyr herself rather than lie and confess to witchcraft. The other two main female characters, Elizabeth and Mary Warren, are somewhat bland. Elizabeth is defined by her relationship to John, and Mary is pushed around by other characters (mostly men) throughout the play. The Crucible presents a view of women that essentially reduces them to caricatures of human beings that are defined by their roles as mothers, wives, and servants to men. Abigail, the one character who breaks from this mold slightly, is portrayed extremely unsympathetically despite the fa ct that the power dynamic between her and John makes him far more culpable in their illicit relationship. Deception Deception is a major driving force inThe Crucible. This includes not only accusatory lies about the involvement of others in witchcraft but also the lies that people consistently tell about their own virtuousness and purity in such a repressive society. The turmoil in Salem is propelled forward by desires for revenge and power that have been simmering beneath the town's placid exterior. There is a culture of keeping up appearances already in place, which makes it natural for people to lie about witnessing their neighbors partaking in Satanic rituals when the opportunity arises (especially if it means insulating themselves from similar accusations and even achieving personal gain). The Crucible provides an example of how convenient lies can build on one another to create a universally accepted truth even in the absence of any real evidence. Even before the witch trials, the people of Salem are doing lots of little magic tricks to make all their unholy thoughts and actions disappear. AbracaDENIAL! How to Write AboutThe CrucibleThemes It's one thing to understand the major themes in The Crucible, and it's another thing completely to write about them yourself. Essay prompts will ask about these themes in a variety of different ways. Some will be very direct. An example would be something like: "How are themes like hysteria, hunger for power, reputation, or any of a number of others functional in the drama? Choose a single character and discuss how this person embodies one of the themes. How is Miller’s underlying message revealed in one of these themes and through the character?" In a case like this, you'd be writing directly about a specific theme in connection to one of the characters. Essay questions that ask about themes in this straightforward way can be tricky because there's a temptation to speak in vague terms about the theme's significance. Always include specific details, including direct quotes, to support your argument about how the theme is expressed in the play. Other essay questions may not ask you directly about the themes listed in this article, but that doesn't mean that the themes are irrelevant to your writing. Here's another example of a potential essay question for The Crucible that's less explicit in its request for you to discuss themes of the play: "Most of the main characters in the play have personal flaws and either contribute to or end up in tragedy. Explain who you believe is the central tragic character in the play. What are their strengths and personal flaws? How does the central tragic character change throughout the play, and how does this relate to the play's title? How do outside forces contribute to the character's flaws and eventual downfall?" In this case, you're asked to discuss the concept of a tragic character, explaining who fits that mold in The Crucible and why. There are numerous connections between the flaws of individual characters and the overarching themes of the play that could be brought into this discussion. This is especially true with the reputation and hysteria themes. If you argued that John Proctor was the central tragic character, you could say that his flaws were an excessive concern for his reputation and overconfidence in the power of reason to overcome hysteria. Both flaws led him to delay telling the truth about Abigail's fraudulent claims and their previous relationship, thus dooming himself and many others to death or imprisonment. Even with prompts that ask you to discuss a specific character or plot point, you can find ways to connect your answer to major themes. These connections will bolster your responses by positioning them in relation to the most important concepts discussed throughout th e play. What's Next? Now that you've read about the most important themes in The Crucible, check out ourlist of every single character in the play, including brief analyses of their relationships and motivations. You can also read my full summary of The Crucible here for a review of exactly what happens in the plot in each act. The Crucible is commonly viewed as an allegorical representation of the communist "witch hunts" conducted in the 1950s. Take a look at this article for details on the history and thematic parallels behind this connection. Want to improve your SAT score by 160 points or your ACT score by 4 points?We've written a guide for each test about the top 5 strategies you must be using to have a shot at improving your score. Download it for free now:

Wednesday, November 20, 2019

Muharraq City (Bahrain) Essay Example | Topics and Well Written Essays - 1000 words

Muharraq City (Bahrain) - Essay Example In the resent years, there has been changing need for globalization that has led to dramatic change in social, economic, political and architectural structures as well within the Middle East countries (Frifelt, 2001, p.13). Bahrain along with its cities has not been left out in the drastic changes that are shaping architectural workmanship of the region. These changes have been greatly influenced by; migration of foreigners from different regions who come along with new ideas and new architectural designs, discovery of oil in Middle East which has completely changed the economical statues of the region, expatriate of Europeans who also brought with them their habits and their social way of life that in away affected their way of building houses as well. This paper looks at existing literature reviews and researches at the changing trends in architectural work in the Middle East region especially in Muharraq as a city within Bahrain islands (Al-Fadhel, 1999, pp. 55-60). Literature Rev iew During the 19th century and the first half of the 20th century, traditional architecture has greatly dominated Muharraq city. These traditional architectures were characterized by their responsiveness to the social and physical aspects within the social context. The traditional architectural houses were built in a courtyard style that mostly considered the climate and metaphoric religious connections (Belgrave, 1973, p.89). The rooms within traditional architecture houses were built to be multi-functional and their roofs were also used to connect the rooms in upper first floor. The materials used in traditional architecture were mainly local materials with a few combinations with imported ones mostly from Mesopotamia, Iran, East Africa and India (Al-Fadhel, 1999, pp. 55-60). In the tradition architecture, houses were built in a communal manner such a way that houses were absorbed in the big mass. This was to emphasis the social belief of solidarity and loyalty within a community and at the same time emphasis ones social statues within the society (Vinitha, 2003, np). Those deemed to have higher social statues within society like rulers, their houses were built separate from the big mass and the difference could be noted in building materials, architectural elements and the architectural designs that included bigger spacing of everything. The construction methods in architectural work were also simple in terms of elevations among other construction methods in traditional architecture (Al-Muraikhi, 1991, pp.12-18). The traditional architecture started to change its outlook in the beginning of 20th century. During this period there were many changes in social, economic and political landscape of Muharraq city. There was a total increase in population from 70000 to 90000 in 1941 and to 110000 in 1950 in regard to Bahrain as a whole. This large population growth led to change in architectural designs since all people needed accommodation as well as social build ings that could accommodate a much larger number of people than existing ones. This rapid growth in population was mainly attributed to migration of people from neighbouring nations and continents such as India among others (Vinitha, 2003, np). Another major change to Bahrain economy, social, political and architectural landscape was experienced after discovery of oil in 1931. The discovered oil was a resource that brought with it high revenue that had an economic impact in the region as well as a social impact to its people. As much as the government increased its economic statues, individuals within the society also gained higher statues hence the desire for more modernized houses that were in relation to their rising social statues wi

Tuesday, November 19, 2019

Community Process at Tesco Case Study Example | Topics and Well Written Essays - 1500 words

Community Process at Tesco - Case Study Example The organisational communication plays an important role in formation of an organisation. Communication can be defined as "the transfer of meanings between persons and groups". Through communication people transfer an idea to other people. In this volatile and advanced business world the where only those organisations survive which tend to remain innovative, the importance of communication has increased multifold. In order to highlight the importance of communication we will undertake an analysis of the communication process at Tesco Plc. Although the communication process at Tesco is changing with the changing requirements of the organisation. The new and volatile communication process not only caters the needs of the organisation but also takes care of the employee's requirements. "Tesco has a confidential telephone help line, Protector Line, for any employee who wishes to raise concerns relating to alleged criminal offences, failure to comply with legal obligations, miscarriages of justice, health and safety, damage to the environment and concealment of any of these issues." (Tesco, 2006) How communication is defined at Tesco' What are the regulatory requirements for undertaking communication' How does Information security risk affect the communication process' What are the Confidentiality risks' What are the Availability risks' What are the Integrity risks' How does a global business organisation like Tesco select a framework of communication' What are the main difficulties faced by Tesco in undertaking effective communication' proposed methods: The methodology of this study will be based upon the interviews and questionnaires obtained by the author from being able to contact the employees at different financial institutions. First step is to identify the necessary variables that would make up the study. Locale of the Study: The study would be mainly based upon the accessibility of the Internet sites that are available for visiting through the web. In this regard, it would be reasonable enough to refer to the cyber space as the main domain of the study. The web sites providing information regarding hedging and its impacts on financial institutions will be used for the completion of this research study. Respondents: The respondents for this study are the employees from Tesco Plc at different posts. To be able to reach the respondents, the author of this paper will try to create e-mail messages that will first prompt the providers of the Internet information. The electronic interview forms will be send to the employees and the managers of the company. The names of the interviewees will be kept hidden for the sake of secrecy and confidentiality. Sampling Procedure: Since the results of the study are merely based upon the results given through e-mail response, the sampling procedure is simply dependent upon the ones who would be able to comply with the survey requirements. Hence, the only sample population

Saturday, November 16, 2019

Mental Imagery Vividness Essay Example for Free

Mental Imagery Vividness Essay Abstract This review examined the hypothesis that mental imagery vividness can be used as a predictor of hallucinatory experience. Earlier studies provided supporting evidences to this hypothesis, showing hallucinating population has higher mental imagery vividness comparing to nonhallucianting population. However, as a result of varied operationalization and measurements of mental imagery, contradicting results abound, showing no significant difference of mental imagery vividness between halluciantors and nonhallucinators. No clear evidences can be used to determine whether the hypothesis is valid or not so far. On the other hand, development of neurological studies provided a new perspective for looking into the relationship between mental imagery and the experience of hallucination. Keywords: mental imagery vividness, hallucination, schizophrenia Mental Imagery Vividness as a Predictor of Hallucination: A Literature Review Mental imagery, as defined by Finke (1989), is an experience significantly resembling that of perceiving, but it occurs in the absence of an adequate physical stimulus. It exists in all of the seven sensory modalities, such as visual, auditory, and olfactory (Thomas, 1999). Mental imagery is believed to be in close relationship with some core psychological mechanisms such as perception and memory, and holding its unique role in contributing to cognitive performance (Kosslyn, 1994). For example, evidences suggested that visual imagery ability predicts visuospatial memory performance (Kail, 1997). Hallucination is an experience that largely resembles mental imagery, because of its perceptual nature as well as absence of appropriate stimuli (Sack, Van de Ven, Etschenberg, Schatz, Linden, 2005). Nevertheless, the two distinguish from each other by the individual’s ability of voluntary control, as well a s his/her ability to determine the source of the experience. Specifically, mental imagery is generally regarded as being actively generated and can be intentionally controlled, while hallucination is most times beyond intention and control. The operator of mental imagery is usually aware of its internal source, while not necessarily so hallucinator. (Bentall, 1990). Hallucination, especially the form of auditory verbal hallucinations (AVH), is an important hallmark of schizophrenia (Wible, 2009). AVH is the perception of voices in the absence of sensory input. AVH has distinct clinical significance, as it affects about 70% of patients with schizophrenia (Sartorius et al., 1978; Silbersweig Stern, 1996). Furthermore, there have been increasing evidences supporting that hallucination is not a rare case in non-clinical population, either. It is now believed to exist on a spectrum from comparably innocuous forms in non-clinical population to a more pathological manifestation in schizophrenics (see review by Bentall, 1990). Because of its significant implication in psychopathology, continuous work has been going on to find out the risk factors and predictors for hallucination. The relationship between mental imagery and hallucination has interested researchers for long because of their shared features. Among all the characteristics of mental imagery that are potentially related with hallucination, vividness has been most substantively examined. This review summarized theories and empirical evidences for the relationship between mental imagery vividness and hallucination. Although still in its budding stage, relevant neurological evidences were also examined. Theoretical Models Vividness of mental imagery can be defined as the degree of perceptual detail experienced when having a mental image (Oertel et al., 2009). It has been associated with hallucination and schizophrenia for decades. In 1883, Galton suggested that increased vividness of mental imagery might be associated with hallucinatory experiences (as cited in Aleman, Bocker, de Haan, 1999). Later in the 20th century, West (1962) and Horowitz (1975) proposed separate models suggesting that hallucinations were mental images derived from internal source, but mistakenly attributed to external source. More specifically, the model suggested that vividness of perception was typically higher than that of mental imagery. As vividness of mental imagery increased, it became more difficult for the individual to decide its source as internal or external, and eventually these images could grow into hallucinatory. This model suggested that mental imagery and hallucination shared fundamental features and were possibly on the same continuum. Johnson and Raye (1981) supported the importance of imagery vividness, stating that memories from internal and external sources could usually be differentiated by comparing the amount of sensory, contextual and semantic attributes of events. Mintz and Alpert (1972) developed their model relevant to mental imagery vividness as well. They proposed that vividness of imagery was not the only factor contributing to hallucination. According to their argument, increased vividness of imagery, and impaired reality testing, referring to the ability to recognize the distortions in one’s own perception, are necessary but not sufficient prerequisites to generation of hallucination. Bentall (1990) summarized predecessors’ work and introduced the concept of â€Å"reality discrimination† – the idea that â€Å"hallucinators mistake their own inte rnal, mental, or private events for external, publicly observable events†. They stated that one type of information used in the reality discrimination process was the amount of sensory information present in conscious: rich sensory information implied a perception being experiences, while poor sensory information implied a mental imagery. Following this argument, individuals who have the propensity to construct images rich in sensory details are more likely to experience their internal imagery as a perception experience, and thus resulting in hallucination. Barrett (1993) provided empirical evidences in support of the above hypothesis, yet he also pointed out some questions of the model. He argued that it was unclear where the locus of the imagery effects was. The imagery vividness discrepancy between individuals with and without hallucinations could be the result of either storage or retrieval difference of sensory information. Specifically, it could be that hallucinators were able to store more abundant sensory information than nonhallucinators; and it could also be that hallucinators were better at retrieving sensory information than nonhallucinators, with same storage capacity. Despite of some questioning opinions, there are very limited direct theoretical dissents or alternative models. Holt (1972) is one of the very few that he argued that hallucination and mental imagery involved independent systems and should not correlate with each other. However, this is not saying that the hypotheses of mental imagery vividness and hallucination have not been subject to scrutinize. A large amount of researchers have attempted to verify or disprove these hypotheses through empirical evidences. Below is an incomplete summary of the empirical studies that are relevant. Empirical Evidences Evidences in Support Mintz and Alpert (1972) provided empirical evidences in support of their own hypothesis. Their study found that auditory hallucinating schizophrenics had a significantly higher vividness of auditory mental imagery comparing to non-hallucinating controls. They also identified an impaired ability to assess the accuracy of auditory perceptions in hallucinating schizophrenics. Similar results were presented by other studies. Barrett (1993) found that nonclinical subjects with hallucinations had higher vividness of mental imagery, and at the same time, had lower control of these images comparing to nonclinical subjects without hallucinations. Barrett’s (1993) study differed from that of Mintz and Alpert (1972) in the sense that he assessed mental imagery vividness on all seven sensory modalities, with one single factor emerged after factor analysis – general imagery vividness factor. In another study by Bocker (2000), no group difference in perceptual acuity was identified between the schizophrenia group and the normal controls, suggesting perceptual degradation is not a reason for hallucination. For the hallucinating schizophrenia patients, the vividness for visual imagery was significantly lower than control, while that for auditory imagery was not. Although the decreased visual mental imagery contradicted with earlier studies, the relatively high auditory mental imagery ability suggested the possibility that auditory imagery for hallucinating patients was more percept-like and thus harder to differentiate, which is in line with the fact that most of the patients experienced hallucinations in auditory modality. Evidences in Contradiction Brett and Starker (1977) found no significant difference of auditory mental imagery vividness between hallucinating schizophrenics, nonhallucinating schizophrenics medical patients with no history of psychiatric problems. Starker and Jolin (1982) also found no significantly different vividness strength of auditory mental imagery between schizophrenics, possible schizophrenics, or nonschizophrenic psychiatrics, nor between schizophrenic subgroups of currently hallucinatory, previously hallucinatory, or nonhallucinatory. In fact, Starker and Jolin (1982) suggested that hallucinating schizophrenics might actually have less vivid auditory imagery than schizophrenics who had never hallucinated. Aleman et al.’s (1999) study revealed interesting results. In their study, hallucinating subjects reported higher imagery vividness than nonhallucinating controls when subjective (self-report) scales were used to measure vividness. However, the pattern was reversed (i.e. hallucinating subjects demonstrated lower mental imagery vividness) when objective measure was used. Van de Ven and Merckelbach (2003) examined the mental imagery vividness and fantasy proneness in non-clinical population with and without hallucination experiences. They found that although subjects with hallucination scored higher on mental imagery vividness than subjects without such experiences, their imagery vividness was highly correlated with their fantasy proneness. Further analysis indicated that hallucination experience was better predicted by fantasy proneness, comparing to mental imagery vividness. Sack and his colleagues (2005) incorporated in their study measures sensitive to cognitive capacity, in order to rule it out as a confounding variable. Their results showed that paranoid schizophrenics reported higher vividness of mental imagery in comparison to age- and sex-matched healthy controls, controlling for general intelligence and psychomotor speed of the subjects. More importantly, the higher imagery vividness of paranoid schizophrenics was not statistically dependent of the patients’ individual psychopathology, including the presence of hallucinations. The authors thus argued that mental imagery could be an independent trait marker of schizophrenia, and it operated on a separate system with hallucination for schizophrenics. Sack and colleagues (2005) also found that patient group performed worse on tasks that require involvement of mental imagery processes, which could indicate an impaired overall mental imagery ability. However, this performance deficit could be attributed to general cognitive capacity deficit. In comparison, Doninger, Silipo, Rabinowics, Snodgrass and Javitt (2001) conducted a study with a task that was more purely targeted at mental imagery ability without time constraint. Their results also revealed worse performance from schizophrenia patients comparing to healthy controls. Results of these studied implied the possibility that group difference in vividness of mental imagery is not due to an enhancement of mental imagery abilities, but to altered information processing. Oertel and colleagues (2009) conducted a further study to address the question that whether vividness of mental imagery is a trait marker of the schizophrenia spectrum (i.e. including non-clinical population with schizophrenia-like traits – schizotypy) that is independent of presence of hallucination. Subjects include schizphrenia patients, first-degree relatives of schizophrenics, as well as high- and low-schizotypy healthy controls. Results showed significantly higher mental imagery vividness across all modalities in schizophrenics, first-degree relatives, as well as high-schizotypy controls comparing to low-schizotypy controls, with cognitive abilities controlled. In replication of Sack et al.’s work, this study also revealed that the vividness of mental imagery and hallucinations were independent of each other. Results also indicated that first-degree relatives obtained highest score in vividness, and high-schizotypy controls’ score did not differ significantly from that of schizophrenia patients. The results strengthened Sack et al.’s (2005) argument that vivid imagery is a trait marker of schizotypyrather, and could be related to the genetic liability to develop schizophrenia. However, longitudinal studies including premorbid data are required for further investigation. Bell and Halligan (2010) repeated Oertel et al.’s study on high- and low-schizotypy population with a larger sample size, yet with a different measure of schizotypy and a specific assessment of visual mental imagery. Their results revealed no significant difference on visual mental imagery vividness between the two groups. Explanation for Results Variation Although large variations exist across different studies, it is not justified to say whether the hypothesis of high mental imagery vividness predicts hallucination has been rejected or not. The main reason for failing to do so is that procedures, especially the measures of mental imagery, of these studies varies a lot, thus leaving considerable space for alternative explanations. Specifically, some of the measures were subjective scale (i.e. self-report), while some of the measures were objective (i.e. behavioral tasks). On the other hand, some of the measures assess mental imagery vividness of a single sensory modality, while some of them assess mental imagery vividness as a whole across all seven sensory modalities. S ubjective Measure vs. Objective Measure of Mental Imagery Kosslyn, Brunn, Cave and Wallach (1984) had presented an insignificant relation between performance on an objective task of visual imagery acuity and a self-report imagery vividness measure, indicating that subjective and objective measures of imagery vividness may not be necessarily measuring the same constructs and/or processes. Aleman et al. (1999) pointed out that objective and subjective mental imagery measures could yield contradictory results within the normal population. This distinction could be true for clinical population as well. For example, Mintz and Alpert (1972) utilized subjective measures (suggestion paradigms or self-report measures) and obtained the finding of an association between increased mental imagery and hallucinations, while Bocker et al. (2000) used a more objective mental imagery task, resulting in insignificant difference of mental imagery performance between patients and controls. Aleman et al. (1999), who generated contradicting results of subjective and objective measures in one study, summarized the disadvantages of subjective and objective measures. For subjective measures, the process of introspection is involved, which is an ability varied across individuals, and can be especially impaired in hallucinating and/or schizophrenia populations. Also, the effect of social demand could influence a subject’s self-report, depending on how the concept of mental imagery vividness is interpreted. Subject’s idiosyncratic definition of imagery vividness also heavily impact his/her self-report. For objective measures, tasks are not real-life resembling, which can fail to evaluate one’s true capacity in daily life. In addition, commonly used objective measures fail to purely target at the vividness of mental imagery alone, other processes such as conceptualization and reasoning are in effect as well. In addition, the contents of cued mental images could largely vary across individuals. Standardized scoring procedure fail to take into account these confounding processes and experiences, indicating that high imagery vividness does not guarantee a high score as it is designed to, and vice versa. General Mental Imagery vs. Single Sensory Modality Mental Imagery Barrett (1993) introduced the idea of general imagery vividness factor. If that is a valid factor, then measurement of general mental imagery vividness and measurement of single sensory modality imagery vividness could be more different than the mere part-whole relationship. Mintz and Alpert (1972) measured auditory imagery vividness only, and Barrett (1993) measured general mental imagery vividness. These two studies both resulted in significant difference of imagery vividness between halluciantors and controls. However, Brett and Starker (1977) and Starker and Jolin (1982) both measured auditory only imagery vividness and resulted in no significant difference between hallucinators and controls. In addition, in replication of Oertel’s (2009) study, Bell and Halligan (2010) changed the general imagery vividness measure to a visual-specific mental imagery measure, and their results differed from that of Oertel et al.. Bell and Halligan (2010) proposed that vividness per se might not be modality specific, and this argument is in line with the modality-independent salience dysregulation theories of psychosis and the psychosis continuum (Murray, Lappin, Di Forti., 2008). Neurological Evidence Despite of the fact that neurological evidences for mental imagery and hallucination experiences did not start to bloom until late 20th century (Linden et al., 2010) and that there is no specific neurological evidence for mental imagery vividness’s relationship with hallucination, this session is included as it provides new perspectives on how experiences of mental imagery and hallucination overlap. Evidences from earlier studies suggested that imagery and hallucinations were associated with overlapping neural networks (Allen, Laroi, McGuire, Aleman, 2008). McGuire et al. (1995) and Shergill et al. (2001) found that auditory mental imagery and auditory hallucination were involved with overlaps in fronto temporal language circuits. In terms of the main difference between hallucination and mental imagery – voluntary controllability, Linden et al. (2011) speculated that it was generated from the altered forward model of sensory productions. Forward model (Wolpert, Ghahramani, Jordan, 1995) stated that perceptual consequences were predicted upon known actions, and the prediction in turn influenced the actual experience of the self-generated action. The forward model could be in effect in speech production. According to it, self-generated speech is subject to prediction of resulted sensory experience. This hypothesis was partially supported by Linden et al.’s (2011) study. They found that the voice-selective area on the banks of superior temporal sulcus (STS) was consistently activated during auditory hallucination and voluntary auditory mental imagery. This area had been regarded as reacting to external sensory stimulation only, but it was later speculated of having been monitoring the self-generated speech in mental imagery and hallucination. Linden et al. (2011) identified in their study that the monitoring and modulating functioning of relevant auditory regions were disturbed in nonclinical hallucinators, resulting in the likelihood of attributing internally generated speech to external sources. These budding evidences suggested that hallucination and mental imagery indeed share fundamental neural networks and do not operate on completely distinctive systems. However, detailed examinations of the activity of these neural networks in terms of different features of mental imagery and hallucination, as well as differed neural system contributing to their differences are still in need. Conclusion Mental imagery vividness has interested researchers for long because of their potential relationship with the experience of hallucination. However, empirical studies have resulted in contradicting results. Earlier studies proposed that increased vividness of mental imagery is a predictor of hallucination, and they have found that higher mental imagery vividness was related with hallucination experiences. Nevertheless, many of the later replications with various methodological modifications failed to reproduce any significant relationship. Because of the variations of measurement of mental imagery vividness, it is hard to decide whether the hypothesis of the relationship between mental imagery vividness and hallucination can be rejected or not. The development of neuroscience based study methods provided a new perspective of testing the hypothesis. Current neurological studies have focused on neural activity comparison between general mental imagery process and hallucination experience. More specific studies targeting at features of mental imagery and hallucination are needed to provide a higher-level understanding of the relationship between the two experiences. 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