Saturday, August 31, 2019

Naturally Occuring Earth Quakes

————————————————- Naturally occurring earthquakes Fault types Tectonic earthquakes occur anywhere in the earth where there is sufficient stored elastic strain energy to drive fracture propagation along a  fault plane. The sides of a fault move past each other smoothly and  aseismically  only if there are no irregularities or  asperities  along the fault surface that increase the frictional resistance. Most fault surfaces do have such asperities and this leads to a form of  stick-slip behaviour.Once the fault has locked, continued relative motion between the plates leads to increasing stress and therefore, stored strain energy in the volume around the fault surface. This continues until the stress has risen sufficiently to break through the asperity, suddenly allowing sliding over the locked portion of the fault, releasing the  stored energy. This energy is rel eased as a combination of radiated elastic  strain  seismic waves, frictional heating of the fault surface, and cracking of the rock, thus causing an earthquake.This process of gradual build-up of strain and stress punctuated by occasional sudden earthquake failure is referred to as the  elastic-rebound theory. It is estimated that only 10 percent or less of an earthquake's total energy is radiated as seismic energy. Most of the earthquake's energy is used to power the earthquake  fracture  growth or is converted into heat generated by friction. Therefore, earthquakes lower the Earth's available  elastic potential energy  and raise its temperature, though these changes are negligible compared to the conductive and convective flow of heat out from the  Earth's deep interior. 2] Earthquake fault types Main article:  Fault (geology) There are three main types of fault that may cause an earthquake: normal, reverse (thrust) and strike-slip. Normal and reverse faulting a re examples of dip-slip, where the displacement along the fault is in the direction of  dip  and movement on them involves a vertical component. Normal faults occur mainly in areas where the crust is being  extended  such as a  divergent boundary. Reverse faults occur in areas where the crust is being  shortened  such as at a convergent boundary. Strike-slip faultsare teep structures where the two sides of the fault slip horizontally past each other; transform boundaries are a particular type of strike-slip fault. Many earthquakes are caused by movement on faults that have components of both dip-slip and strike-slip; this is known as oblique slip. Reverse faults, particularly those along  convergent plate boundaries  are associated with the most powerful earthquakes, including almost all of those of magnitude 8 or more. Strike-slip faults, particularly continental  transforms  can produce major earthquakes up to about magnitude 8.Earthquakes associated with nor mal faults are generally less than magnitude 7. This is so because the energy released in an earthquake, and thus its magnitude, is proportional to the area of the fault that ruptures[3]  and the stress drop. Therefore, the longer the length and the wider the width of the faulted area, the larger the resulting magnitude. The topmost, brittle part of the Earth’s crust, and the cool slabs of the tectonic plates that are descending down into the hot mantle, are the only parts of our planet which can store elastic energy and release it in fault ruptures.Rocks hotter than about 300 degrees Celsius flow in response to stress; they do not rupture in earthquakes. [4][5]  The maximum observed lengths of ruptures and mapped faults, which may break in one go are approximately 1000  km. Examples are the earthquakes in  Chile, 1960;  Alaska, 1957;  Sumatra, 2004, all in subduction zones. The longest earthquake ruptures on strike-slip faults, like the  San Andreas Fault  (1 857, 1906), the  North Anatolian Fault  in Turkey (1939) and theDenali Fault  in Alaska (2002), are about half to one third as long as the lengths along subducting plate margins, and those along normal faults are even shorter.Aerial photo of the San Andreas Fault in the  Carrizo Plain, northwest of Los Angeles The most important parameter controlling the maximum earthquake magnitude on a fault is however not the maximum available length, but the available width because the latter varies by a factor of 20. Along converging plate margins, the dip angle of the rupture plane is very shallow, typically about 10 degrees. [6]  Thus the width of the plane within the top brittle crust of the Earth can become 50 to 100  km (Tohoku, 2011;  Alaska, 1964), making the most powerful earthquakes possible.Strike-slip faults tend to be oriented near vertically, resulting in an approximate width of 10  km within the brittle crust,[7]  thus earthquakes with magnitudes much larger than 8 are not possible. Maximum magnitudes along many normal faults are even more limited because many of them are located along spreading centers, as in Iceland, where the thickness of the brittle layer is only about 6  km. [8][9] In addition, there exists a hierarchy of stress level in the three fault types. Thrust faults are generated by the highest, strike slip by intermediate, and normal faults by the lowest stress levels. 10]  This can easily be understood by considering the direction of the greatest principal stress, the direction of the force that ‘pushes’ the rock mass during the faulting. In the case of normal faults, the rock mass is pushed down in a vertical direction, thus the pushing force (greatest  principal stress) equals the weight of the rock mass itself. In the case of thrusting, the rock mass ‘escapes’ in the direction of the least principal stress, namely upward, lifting the rock mass up, thus the overburden equals the  least  p rincipal stress.Strike-slip faulting is intermediate between the other two types described above. This difference in stress regime in the three faulting environments can contribute to differences in stress drop during faulting, which contributes to differences in the radiated energy, regardless of fault dimensions. Earthquakes away from plate boundaries Main article:  Intraplate earthquake Where plate boundaries occur within  continental lithosphere, deformation is spread out over a much larger area than the plate boundary itself.In the case of the  San Andreas fault  continental transform, many earthquakes occur away from the plate boundary and are related to strains developed within the broader zone of deformation caused by major irregularities in the fault trace (e. g. , the â€Å"Big bend† region). The  Northridge earthquake  was associated with movement on a blind thrust within such a zone. Another example is the strongly oblique convergent plate boundary bet ween the  Arabian  and  Eurasian plates  where it runs through the northwestern part of the  Zagros  mountains.The deformation associated with this plate boundary is partitioned into nearly pure thrust sense movements perpendicular to the boundary over a wide zone to the southwest and nearly pure strike-slip motion along the Main Recent Fault close to the actual plate boundary itself. This is demonstrated by earthquake  focal mechanisms. [11] All tectonic plates have internal stress fields caused by their interactions with neighbouring plates and sedimentary loading or unloading (e. g. deglaciation[12]).These stresses may be sufficient to cause failure along existing fault planes, giving rise to  intraplate earthquakes. [13] Shallow-focus and deep-focus earthquakes Main article:  Depth of focus (tectonics) The majority of tectonic earthquakes originate at the ring of fire in depths not exceeding tens of kilometers. Earthquakes occurring at a depth of less than 70  km are classified as ‘shallow-focus' earthquakes, while those with a focal-depth between 70 and 300  km are commonly termed ‘mid-focus' or ‘intermediate-depth' earthquakes.In  subduction zones, where older and colder  oceanic crust  descends beneath another tectonic plate,  deep-focus earthquakes  may occur at much greater depths (ranging from 300 up to 700  kilometers). [14]  These seismically active areas of subduction are known as  Wadati-Benioff zones. Deep-focus earthquakes occur at a depth where the subducted  lithosphere  should no longer be brittle, due to the high temperature and pressure. A possible mechanism for the generation of deep-focus earthquakes is faulting caused by  olivine  undergoing a  phase transition  into a  spinel  structure. 15] Earthquakes and volcanic activity Earthquakes often occur in volcanic regions and are caused there, both by  tectonic  faults and the movement of  magma  in  volcanoe s. Such earthquakes can serve as an early warning of volcanic eruptions, as during the  Mount St. Helens  eruption of 1980. [16]  Earthquake swarms can serve as markers for the location of the flowing magma throughout the volcanoes. These swarms can be recorded by seismometers and  tiltmeters  (a device that measures ground slope) and used as sensors to predict imminent or upcoming eruptions. [17] Rupture dynamicsA tectonic earthquake begins by an initial rupture at a point on the fault surface, a process known as nucleation. The scale of the nucleation zone is uncertain, with some evidence, such as the rupture dimensions of the smallest earthquakes, suggesting that it is smaller than 100 m while other evidence, such as a slow component revealed by low-frequency spectra of some earthquakes, suggest that it is larger. The possibility that the nucleation involves some sort of preparation process is supported by the observation that about 40% of earthquakes are preceded by fo reshocks.Once the rupture has initiated it begins to propagate along the fault surface. The mechanics of this process are poorly understood, partly because it is difficult to recreate the high sliding velocities in a laboratory. Also the effects of strong ground motion make it very difficult to record information close to a nucleation zone. [18] Rupture propagation is generally modeled using a  fracture mechanics  approach, likening the rupture to a propagating mixed mode shear crack. The rupture velocity is a function of the fracture energy in the volume around the crack tip, increasing with decreasing fracture energy.The velocity of rupture propagation is orders of magnitude faster than the displacement velocity across the fault. Earthquake ruptures typically propagate at velocities that are in the range 70–90% of the S-wave velocity and this is independent of earthquake size. A small subset of earthquake ruptures appear to have propagated at speeds greater than the S-w ave velocity. These  supershear earthquakes  have all been observed during large strike-slip events. The unusually wide zone of coseismic damage caused by the  2001 Kunlun earthquake  has been attributed to the effects of the  sonic boom  developed in such earthquakes.Some earthquake ruptures travel at unusually low velocities and are referred to as  slow earthquakes. A particularly dangerous form of slow earthquake is the  tsunami earthquake, observed where the relatively low felt intensities, caused by the slow propagation speed of some great earthquakes, fail to alert the population of the neighbouring coast, as in the  1896 Meiji-Sanriku earthquake. [18] Tidal forces See also:  Earthquake prediction#Tides Research work has shown a robust correlation between small tidally induced forces and non-volcanic tremor activity. 19][20][21][22] Earthquake clusters Most earthquakes form part of a sequence, related to each other in terms of location and time. [23]  Mos t earthquake clusters consist of small tremors that cause little to no damage, but there is a theory that earthquakes can recur in a regular pattern. [24] Aftershocks Main article:  Aftershock An aftershock is an earthquake that occurs after a previous earthquake, the mainshock. An aftershock is in the same region of the main shock but always of a smaller magnitude.If an aftershock is larger than the main shock, the aftershock is redesignated as the main shock and the original main shock is redesignated as a  foreshock. Aftershocks are formed as the crust around the displaced  fault plane  adjusts to the effects of the main shock. [23] Earthquake swarms Main article:  Earthquake swarm Earthquake swarms are sequences of earthquakes striking in a specific area within a short period of time. They are different from earthquakes followed by a series of  aftershocks  by the fact that no single earthquake in the sequence is obviously the main shock, therefore none have notabl e higher magnitudes than the other.An example of an earthquake swarm is the 2004 activity atYellowstone National Park. [25] Earthquake storms Main article:  Earthquake storm Sometimes a series of earthquakes occur in a sort of  earthquake storm, where the earthquakes strike a fault in clusters, each triggered by the shaking or stress redistribution of the previous earthquakes. Similar to  aftershocks  but on adjacent segments of fault, these storms occur over the course of years, and with some of the later earthquakes as damaging as the early ones.Such a pattern was observed in the sequence of about a dozen earthquakes that struck the  North Anatolian Fault  in Turkey in the 20th century and has been inferred for older anomalous clusters of large earthquakes in the Middle East. [26][27] ————————————————- Size and frequency of occurrence It is estimated that aro und 500,000 earthquakes occur each year, detectable with current instrumentation. About 100,000 of these can be felt. [28][29]  Minor earthquakes occur nearly constantly around the world in places like  California  and  Alaska  in the U. S. , as well as n  Mexico,  Guatemala,  Chile,  Peru,  Indonesia,  Iran,  Pakistan, the  Azores  in  Portugal,  Turkey,  New Zealand,  Greece,Italy, and  Japan, but earthquakes can occur almost anywhere, including  New York City,  London, and  Australia. [30]  Larger earthquakes occur less frequently, the relationship being  exponential; for example, roughly ten times as many earthquakes larger than magnitude 4 occur in a particular time period than earthquakes larger than magnitude 5. In the (low seismicity) United Kingdom, for example, it has been calculated that the average recurrences are: an earthquake of 3. –4. 6 every year, an earthquake of 4. 7–5. 5 every 10  years, and an earth quake of 5. 6 or larger every 100  years. [31]  This is an example of the  Gutenberg-Richter law. The  Messina earthquake  and tsunami took as many as 200,000 lives on December 28, 1908 in  Sicily  and  Calabria. [32] The number of seismic stations has increased from about 350 in 1931 to many thousands today. As a result, many more earthquakes are reported than in the past, but this is because of the vast improvement in instrumentation, rather than an increase in the number of earthquakes.The  United States Geological Survey  estimates that, since 1900, there have been an average of 18 major earthquakes (magnitude 7. 0–7. 9) and one great earthquake (magnitude 8. 0 or greater) per year, and that this average has been relatively stable. [33]  In recent years, the number of major earthquakes per year has decreased, though this is probably a statistical fluctuation rather than a systematic trend. [citation needed]  More detailed statistics on the size and frequency of earthquakes is available from the  United States Geological Survey  (USGS). 34]  A recent increase in the number of major earthquakes has been noted, which could be explained by a cyclical pattern of periods of intense tectonic activity, interspersed with longer periods of low-intensity. However, accurate recordings of earthquakes only began in the early 1900s, so it is too early to categorically state that this is the case. [35] Most of the world's earthquakes (90%, and 81% of the largest) take place in the 40,000  km long, horseshoe-shaped zone called the circum-Pacific seismic belt, known as the  Pacific Ring of Fire, which for the most part bounds the  Pacific Plate. 36][37]  Massive earthquakes tend to occur along other plate boundaries, too, such as along the  Himalayan Mountains. [38] With the rapid growth of  mega-cities  such as  Mexico City,  Tokyo  and  Tehran, in areas of high  seismic risk, some seismologists are warning that a single quake may claim the lives of up to 3  million people. [39] ————————————————- Induced seismicity Main article:  Induced seismicity While most earthquakes are caused by movement of the Earth's  tectonic plates, human activity can also produce earthquakes.Four main activities contribute to this phenomenon: storing large amounts of water behind a  dam  (and possibly building an extremely heavy  building), drilling and injecting liquid into  wells, and by  coal mining  and  oil drilling. [40]  Perhaps the best known example is the  2008 Sichuan earthquake  in China's  Sichuan Province  in May; this tremor resulted in 69,227 fatalities and is the  19th deadliest earthquake of all time. The  Zipingpu Dam  is believed to have fluctuated the pressure of the fault 1,650 feet (503  m) away; this pressure probably increased the power of t he earthquake and accelerated the rate of movement for the fault. 41]  The greatest earthquake in Australia's history is also claimed to be induced by humanity, through coal mining. The city of Newcastle  was built over a large sector of coal mining areas. The earthquake has been reported to be spawned from a fault that reactivated due to the millions of tonnes of rock removed in the mining process. [42] ————————————————- Measuring and locating earthquakes Main article:  Seismology Earthquakes can be recorded by seismometers up to great distances, because  seismic waves  travel through the whole  Earth's interior.The absolute magnitude of a quake is conventionally reported by numbers on the  Moment magnitude scale  (formerly Richter scale, magnitude 7 causing serious damage over large areas), whereas the felt magnitude is reported using the modifiedMercalli intensity scale  (intensity II–XII). Every tremor produces different types of seismic waves, which travel through rock with different velocities: * Longitudinal  P-waves  (shock- or pressure waves) * Transverse  S-waves  (both body waves) * Surface waves  Ã¢â‚¬â€ (Rayleigh  and  Love  waves) Propagation velocity  of the seismic waves ranges from approx.   km/s up to 13  km/s, depending on the  density  and  elasticity  of the medium. In the Earth's interior the shock- or P waves travel much faster than the S waves (approx. relation 1. 7  : 1). The differences in  travel time  from the  epicentre  to the observatory are a measure of the distance and can be used to image both sources of quakes and structures within the Earth. Also the depth of the  hypocenter  can be computed roughly. In solid rock P-waves travel at about 6 to 7  km per second; the velocity increases within the deep mantle to ~13  km/s.The velocity of S-waves ranges from 2–3  km/s in light sediments and 4–5  km/s in the Earth's crust up to 7  km/s in the deep mantle. As a consequence, the first waves of a distant earthquake arrive at an observatory via the Earth's mantle. Rule of thumb: On the average, the kilometer distance to the earthquake is the number of seconds between the P and S wave  times 8. [43]  Slight deviations are caused by inhomogeneities of subsurface structure. By such analyses of seismograms the Earth's core was located in 1913 by  Beno Gutenberg.Earthquakes are not only categorized by their magnitude but also by the place where they occur. The world is divided into 754  Flinn-Engdahl regions  (F-E regions), which are based on political and geographical boundaries as well as seismic activity. More active zones are divided into smaller F-E regions whereas less active zones belong to larger F-E regions. ———————————à ¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€- Effects of earthquakes 1755 copper engraving depicting  Lisbonin ruins and in flames after the  1755 Lisbon earthquake, which killed an estimated 60,000 people. A  tsunami  overwhelms the ships in the harbor.The effects of earthquakes include, but are not limited to, the following: Shaking and ground rupture Damaged buildings in  Port-au-Prince,Haiti, January 2010. Shaking and ground rupture are the main effects created by earthquakes, principally resulting in more or less severe damage to buildings and other rigid structures. The severity of the local effects depends on the complex combination of the earthquake  magnitude, the distance from the  epicenter, and the local geological and geomorphological conditions, which may amplify or reduce  wave propagation. [44]  The ground-shaking is measured by  ground acceleration.Specific local geological, geomorphological, and geostructural features can induce high levels of shakin g on the ground surface even from low-intensity earthquakes. This effect is called site or local amplification. It is principally due to the transfer of the  seismic  motion from hard deep soils to soft superficial soils and to effects of seismic energy focalization owing to typical geometrical setting of the deposits. Ground rupture is a visible breaking and displacement of the Earth's surface along the trace of the fault, which may be of the order of several metres in the case of major earthquakes.Ground rupture is a major risk for large engineering structures such as  dams, bridges and  nuclear power stations  and requires careful mapping of existing faults to identify any which are likely to break the ground surface within the life of the structure. [45] Landslides and avalanches Main article:  Landslide Earthquakes, along with severe storms, volcanic activity, coastal wave attack, and wildfires, can produce slope instability leading to landslides, a major geological hazard. Landslide danger may persist while emergency personnel are attempting rescue. [46] FiresFires of the  1906 San Francisco earthquake Earthquakes can cause  fires  by damaging  electrical power  or gas lines. In the event of water mains rupturing and a loss of pressure, it may also become difficult to stop the spread of a fire once it has started. For example, more deaths in the  1906 San Francisco earthquake  were caused by fire than by the earthquake itself. [47] Soil liquefaction Main article:  Soil liquefaction Soil liquefaction occurs when, because of the shaking, water-saturated  granular  material (such as sand) temporarily loses its strength and transforms from a  solid  to a  liquid.Soil liquefaction may cause rigid structures, like buildings and bridges, to tilt or sink into the liquefied deposits. This can be a devastating effect of earthquakes. For example, in the  1964 Alaska earthquake, soil liquefaction caused many buildings to sink into the ground, eventually collapsing upon themselves. [48] Tsunami The tsunami of the  2004 Indian Ocean earthquake A large ferry boat rests inland amidst destroyed houses after a 9. 0  earthquakeand subsequent tsunami struck Japan in March 2011. Main article:  Tsunami Tsunamis are long-wavelength, long-period sea waves produced by the sudden or abrupt movement of large volumes of water.In the open ocean the distance between wave crests can surpass 100 kilometers (62  mi), and the wave periods can vary from five minutes to one hour. Such tsunamis travel 600-800  kilometers per hour (373–497 miles per hour), depending on water depth. Large waves produced by an earthquake or a submarine landslide can overrun nearby coastal areas in a matter of minutes. Tsunamis can also travel thousands of kilometers across open ocean and wreak destruction on far shores hours after the earthquake that generated them. [49] Ordinarily, subduction earthquakes under magnitude 7. on the Richter scale do not cause tsunamis, although some instances of this have been recorded. Most destructive tsunamis are caused by earthquakes of magnitude 7. 5 or more. [49] Floods Main article:  Flood A flood is an overflow of any amount of water that reaches land. [50]  Floods occur usually when the volume of water within a body of water, such as a river or lake, exceeds the total capacity of the formation, and as a result some of the water flows or sits outside of the normal perimeter of the body. However, floods may be secondary effects of earthquakes, if dams are damaged.Earthquakes may cause landslips to dam rivers, which collapse and cause floods. [51] The terrain below the  Sarez Lake  in  Tajikistan  is in danger of catastrophic flood if the  landslide dam  formed by the earthquake, known as the  Usoi Dam, were to fail during a future earthquake. Impact projections suggest the flood could affect roughly 5  million people. [52] Human impacts An earthquake may cause injury and loss of life, road and bridge damage, general  property damage  (which may or may not be covered by  earthquake insurance), and collapse or destabilization (potentially leading to future collapse) of buildings.The aftermath may bring  disease, lack of basic necessities, and higher insurance premiums. ————————————————- Major earthquakes Earthquakes of magnitude 8. 0 and greater since 1900. The apparent 3D volumes of the bubbles are linearly proportional to their respective fatalities. [53] Main article:  List of earthquakes One of the most devastating earthquakes in recorded history occurred on 23 January 1556 in the  Shaanxi  province, China, killing more than 830,000 people (see  1556 Shaanxi earthquake). 54]  Most of the population in the area at the time lived in  yaodongs, artificial caves in  loess  cliffs, many of which co llapsed during the catastrophe with great loss of life. The  1976 Tangshan earthquake, with a death toll estimated to be between 240,000 to 655,000, is believed to be the largest earthquake of the 20th century by death toll. [55] The  1960 Chilean Earthquake  is the largest earthquake that has been measured on a seismograph, reaching 9. 5 magnitude on 22 May 1960. [28][29]  Its epicenter was near Canete, Chile.The energy released was approximately twice that of the next most powerful earthquake, the  Good Friday Earthquake, which was centered in  Prince William Sound, Alaska. [56][57]  The ten largest recorded earthquakes have all been  megathrust earthquakes; however, of these ten, only the  2004 Indian Ocean earthquake  is simultaneously one of the deadliest earthquakes in history. Earthquakes that caused the greatest loss of life, while powerful, were deadly because of their proximity to either heavily populated areas or the ocean, where earthquakes often crea te  tsunamis  that can devastate communities thousands of kilometers away.Regions most at risk for great loss of life include those where earthquakes are relatively rare but powerful, and poor regions with lax, unenforced, or nonexistent seismic building codes. ————————————————- Prediction Main article:  Earthquake prediction Many methods have been developed for predicting the time and place in which earthquakes will occur. Despite considerable research efforts by  seismologists, scientifically reproducible predictions cannot yet be made to a specific day or month. 58]  However, for well-understood faults the probability that a segment may rupture during the next few decades can be estimated. [59] Earthquake warning systems  have been developed that can provide regional notification of an earthquake in progress, but before the ground surface has begun to move, potentially allowing people within the system's range to seek shelter before the earthquake's impact is felt. ————————————————- Preparedness The objective of  earthquake engineering  is to foresee the impact of earthquakes on buildings and other structures and to design such structures to minimize the risk of damage.Existing structures can be modified by  seismic retrofitting  to improve their resistance to earthquakes. Earthquake insurance  can provide building owners with financial protection against losses resulting from earthquakes. Emergency management  strategies can be employed by a government or organization to mitigate risks and prepare for consequences. ————————————————- Historical views An image from a 1557 book From the lifetime of the Gre ek philosopher  Anaxagoras  in the 5th century BCE to the 14th century CE, earthquakes were usually attributed to â€Å"air (vapors) in the cavities of the Earth. [60]  Thales  of Miletus, who lived from 625–547 (BCE) was the only documented person who believed that earthquakes were caused by tension between the earth and water. [60]  Other theories existed, including the Greek philosopher Anaxamines' (585–526 BCE) beliefs that short incline episodes of dryness and wetness caused seismic activity. The Greek philosopher Democritus (460–371 BCE) blamed water in general for earthquakes. [60]  Pliny the Elder  called earthquakes â€Å"underground thunderstorms. â€Å"[60] ————————————————- Earthquakes in culture Mythology and religionIn  Norse mythology, earthquakes were explained as the violent struggling of the god  Loki. When Loki,à ‚  god  of mischief and strife, murdered  Baldr, god of beauty and light, he was punished by being bound in a cave with a poisonous serpent placed above his head dripping venom. Loki's wife  Sigyn  stood by him with a bowl to catch the poison, but whenever she had to empty the bowl the poison dripped on Loki's face, forcing him to jerk his head away and thrash against his bonds, which caused the earth to tremble. [61] In  Greek mythology,  Poseidon  was the cause and god of earthquakes.When he was in a bad mood, he struck the ground with a  trident, causing earthquakes and other calamities. He also used earthquakes to punish and inflict fear upon people as revenge. [62] In  Japanese mythology,  Namazu  (? ) is a giant  catfish  who causes earthquakes. Namazu lives in the mud beneath the earth, and is guarded by the god  Kashima  who restrains the fish with a stone. When Kashima lets his guard fall, Namazu thrashes about, causing violent earthquakes. Pop ular culture In modern  popular culture, the portrayal of earthquakes is shaped by the memory of great cities laid waste, such as  Kobe in 1995  or  San Francisco in 1906. 63]  Fictional earthquakes tend to strike suddenly and without warning. [63]  For this reason, stories about earthquakes generally begin with the disaster and focus on its immediate aftermath, as in  Short Walk to Daylight  (1972),  The Ragged Edge  (1968) or  Aftershock: Earthquake in New York  (1998). [63]  A notable example is Heinrich von Kleist's classic novella,  The Earthquake in Chile, which describes the destruction of Santiago in 1647. Haruki Murakami's short fiction collection  after the quake  depicts the consequences of the Kobe earthquake of 1995.The most popular single earthquake in fiction is the hypothetical â€Å"Big One† expected of  California's  San Andreas Fault  someday, as depicted in the novels  Richter 10  (1996) and  Goodbye California  (1977) among other works. [63]  Jacob M. Appel's widely anthologized short story,  A Comparative Seismology, features a con artist who convinces an elderly woman that an apocalyptic earthquake is imminent. [64]  In  Pleasure Boating in Lituya Bay, one of the stories in  Jim Shepard's  Like You'd Understand, Anyway, the â€Å"Big One† leads to an even more devastating tsunami.In the film  2012  (2009), solar flares (geologically implausibly) affecting the Earth's core caused massive destabilization of the Earth's crust layers. This created destruction planet-wide with earthquakes and tsunamis, foreseen by the  Mayan  culture and myth surrounding the last year noted in the  Mesoamerican calendar  Ã¢â‚¬â€Ã‚  2012. Contemporary depictions of earthquakes in film are variable in the manner in which they reflect human psychological reactions to the actual trauma that can be caused to directly afflicted families and their loved ones. 65]  Disaster mental health response research emphasizes the need to be aware of the different roles of loss of family and key community members, loss of home and familiar surroundings, loss of essential supplies and services to maintain survival. [66][67]  Particularly for children, the clear availability of caregiving adults who are able to protect, nourish, and clothe them in the aftermath of the earthquake, and to help them make sense of what has befallen them has been shown even more important to their emotional and physical health than the simple giving of provisions. 68]  As was observed after other disasters involving destruction and loss of life and their media depictions, such as those of the 2001 World Trade Center Attacks or Hurricane Katrina—and has been recently observed in the  2010 Haiti earthquake, it is also important not to pathologize the reactions to loss and displacement or disruption of governmental administration and services, but rather to validate these reactions, to support constructive problem-solving and reflection as to how one might improve the conditions of those affected. [69]

Friday, August 30, 2019

In the Late 1990s a Growing Number of Economists

Q. In the late 1990s a growing number of economists argued that world policymakers were focusing too much on fighting inflation. The economists also argued that the technical level of potential output had risen. Show their argument using the AS/AD model. Ans. During the 1970s and the 1980s inflation had risen to relatively higher levels as compared to the earlier decades. The tightening of the monetary policy was one of the action that lead to the fall inflation rate after remaining high for two continuous decades. But economists in the past have argued that there has been too much stress on fighting inflation during 1990s. The prime reasons for this argument is the fact that both fiscal and monetary side, i. e. both the instruments which managed the demand side of the economy where used for curbing inflation at a time when there was a technical boom in the economy in the form of enhancing productivity. This lead to the potential output of the economy to increase and therefore had a favourable impact on efforts to curb inflation. This enhancement of productivity (which was primarily due to decline in prices of computers) during the 1990s especially the later half is the chief factor that lead to the shift of the aggregate supply curve of the economy as shown in the figure. The Aggregate supply curve shifts from AS0 to AS1. This shift is because of the technical progress during the concerned period. The technical progress caused the economy to produce a higher level of produce from the same amount of inputs because of productivity enhancement which caused the prices in the economy to cool off automatically. This is visible in the graph where the aggregate price in the economy falls from P0 to P1. Therefore, the argument made by the economist during this period of unneeded stress being given on fighting inflation is valid from the macroeconomic point by looking at the aggregate demand and supply curve. The shift of the aggregate supply due to technical progress backs up the argument stating the fall in economy real prices in aggregate sense due shift of the supply curve.

Thursday, August 29, 2019

Avatar movie is overrated Essay Example | Topics and Well Written Essays - 500 words

Avatar movie is overrated - Essay Example That was lacking in Avatar. Animation was good, but that is the technical aspect. Nothing in the movie appealed to my heart and left a lasting impression in my mind. I am not willing to compare it to the movies like Titanic. They are poles apart merit-wise. Falling in love doesn’t make always a great story. A crippled ex-marine, Jack Sully travels to a mining colony at planet named Pandora, and he is part of the security personnel there. He gets an opportunity to be involved in a scientific research and is able to control the mind of a cloned native(the Na’vis) He falls in love with a hot Neytiri girl and sides with the tribal against the evil designs of mining corporation, who are out to destroy the tribal flora and fauna. From where does the storywriter get inspiration from? Modern science? Early adventures of the colonial powers on the American tribal population? Or from other movies? The story failed to catch my imagination. Seriousness in the situation, which was not there, was created deliberately. I watched, but did not appreciate the sequences. The outcomes of the stunts are predictable. James Cameron is a big name in the movie world. It is a big budget movie and it is in the process of earning great profits. Since the release of Titanic, the ways of the advertising media have changed much. The name of James Cameron sells—and the man and his team knows how to sell it, having invested an astronomical sum to produce the movie. Distribution and advertisement techniques are planned well and they are part of the movie production. A movie is produced to with the express plans to sell it in the box office. Movie business is not a philanthropic activity. The visual prowess is fine. But does that add to the strength of the script? I reason desperately what exactly is special about the script but fail to get any positive answer. The script seems to have been borrowed in bits and parts from several other

Wednesday, August 28, 2019

Infection Control Policy in Australia Essay Example | Topics and Well Written Essays - 1500 words

Infection Control Policy in Australia - Essay Example The World Health Organization (2003, p.9) highlights that there have been emergencies of dangerous respiratory and other infectious diseases like tuberculosis over the years. Therefore, there is a need to introduce policies for healthcare facilities for the aged to control such infections and their spread. Infection control policy has been defined as the programs and procedures meant to monitor diseases within health care facilities, investigate, prevent and control the spread of such infections and their causes. Infection control policies involve the procedures, which are used in the healthcare facilities, which serve to minimize the spread of any infection to patients and other people. The infection control policy is a health branch of healthcare with a role to prevent healthcare associate’s infections. Hence, infection control policies serve to manage any spread of infections and infectious microorganisms in the healthcare facilities (World Health Organization 2003, p.9). T o ensure that transmission of infections is properly monitored, there is a need to inform the patients, their relatives, healthcare workers and people who are involved in caring for the aged. The Essex Health Protection Unit (2011, p.6) highlights that these policies have been developed for use by proprietors, healthcare personnel and care homes and their implementation helps to ensure that there is efficiency in management of risks associated with infections. Further, implementation of these policies ensures that quality of healthcare for the aged is improved. The World Health Organization (2003, p.12) highlights that infection control policies should have some defining characteristics for it to be effective. The first characteristic of the policy is the operating of systems for control of infections. This means that the policy should have regulations put in place to respond to any cases of infections. Secondly, the policy should have education and training programs for the healthc are personnel who are involved in nursing of the aged. They should be taken through training so that they can be able to understand what is required of them. Thirdly, the healthcare workers should be protected by the policy. The policy should ensure that healthcare workers health is protected through immunization programs and other methods, which promote prevention of infections when working (World Health Organization 2003, p.12). Lastly, the policy should identify potential hazards and ways of minimizing any risks of infections. According to NSW Health (2010, p.10) the main purpose of the policy is to lay down the fundamental principles of controlling infections in the Australian healthcare system. These foundations help the healthcare system to develop policies and procedures that are relevant for their own aged care nursing facilities. Infection control policies purposes can be implemented through either standard precautions or additional precautions (NSW Health 2010, p.3). The p olicy standard precautions are said to apply to all patients at all times irrespective of their health conditions (National Institute for Health and Clinical Excellence 2012, p.12). The first purpose of the infection control policies is to ensure Standard procedures are followed when dealing with patients. These precautions involve using basic standard healthcare precautions to provide a high degree of protection to the healthcare workers, the aged and people who are exposed to them.

Tuesday, August 27, 2019

THERAPUTIC HYPOTHERMIA POST CARDIAC ARREST Essay

THERAPUTIC HYPOTHERMIA POST CARDIAC ARREST - Essay Example One of these means is identified to include the use of reflective analysis, whereby after any major task with a patient, the nurse sits back to reflect on the nursing practice that was executed, using a series of methodologies and procedures. In this paper, such clinical judgment in the nursing management of a patient is undertaken. The patient was taken care of after post cardiac arrest during the first 6 hours of his initial admission to the hospital. As part of regular nursing practice, there are several decisions and actions that were taken that were based on academic and clinical reasoning. The reflective paper will therefore give a general profile of the patient, after which there will be a vivid discussion of the care that was rendered. There will then be an appraisal of the care, which shall take the form of a critical analysis of the care before a reflective conclusion is given. This is the case of Mr. B, whose actual name is withheld for ethical reasons to keep the identity of the patient anonymous. Mr. B was admitted to the hospital for the reason of a post cardiac arrest. This means that the patient was going through a moment of cessation of what was to be the normal circulation of blood into his heart (Sonneville et al., 2013). Such instances of cardiac arrest have been attributed to a failure for the heart to effectively contract and expand as part of its regular functionality (Peberdy et al., 2010). It was realised that Mr. B’s instance of cardiac arrest had come about whiles he was undergoing treatment for acute exacerbation of Asthma in one of the medical ward. Some of the specific instances of symptoms that he showed at the time of being reported to the ward were I was in charge included an arrest with a rhythm of pulseless electrical activity (PEA). It would be noted that under very normal situations,

Monday, August 26, 2019

Should Human Embryonic Stem Cells be used in Scientific Research Essay

Should Human Embryonic Stem Cells be used in Scientific Research - Essay Example More than 20 years ago, scientists discovered how to derive stem cells from mouse embryos (NIH 2005), but more recently the potential for using human stem cells has been realized. The use of stem cells in medical research hinges on the fact that stem cells have the potential to differentiate into any of the cell types within the body in response to chemical signals. Theoretically they are able to divide limitlessly until they do become differentiated. Extensive research is being carried out in various parts of the world to determine the specific combination of chemical signals that will induce stem cells to differentiate into brain and nerve tissue as well as an array of organ tissue, including heart, pancreas, and liver. Stem cells are a potential source of an unlimited supply of replacement cells and tissues which can be used in treatments and cures for human diseases, as well as to explore the causes of diseases. For example, stem cells could be induced to differentiate into insulin-producing pancreatic cells which could be used to treat diabetes. This year, a team of researchers at Johns Hopkins University derived embryonic stem cells from mouse embryos, and transplanted these into paralyzed rats (JHMI, June 20, 2006). With the application of a surprisingly small number of cells, the paralysis was entirely cured, and the rats were able to walk again. It goes without saying that regenerating nerve tissue is a remarkable achievement. This research has the potential to be developed into treatments which could substantially increase the quality of life for millions of people suffering from a diverse range of illnesses. According to Douglas Kerr, the neurologist who led the research team, treatments b ased on this research could one day repair the damage done by Amyotrophic lateral sclerosis (Lou Gehrig's disease), multiple sclerosis, or traumatic spinal injury. With small adjustments, this approach could effectively treat Parkinson's disease and Huntington's disease. The human embryos used in the first successful attempts to isolate stem cells for laboratory use were derived from unneeded in vitro fertilization procedures (NIH 2005), and were used with the informed consent of the donor. However, as stem cell research has become more popular and the potential for it has been more fully realized, the need for consistent sources of cells has become more apparent, and this need has become a hotly-debated source of contention. In the United States, for example, there has been considerable debate over the past five years as to whether the government should fund research using frozen human embryos which are stored by in vitro fertilization clinics. Embryos used in such research would be approximately five days old (Associated Press, 2006) and would be destroyed in the research process. Opposition to the use of Human Embryonic Stem Cells on Religious Grounds Opposition of the use of human embryonic stem ce

Sunday, August 25, 2019

Medicare and Medicaid High School Essay Example | Topics and Well Written Essays - 500 words

Medicare and Medicaid High School - Essay Example Medicare covers many of the costs of health care for senior citizens, but its associated payments make it expensive to use for many of its beneficiaries. Medicare benefits will cover the cost of hospitalization, skilled nursing home care, and prescription drugs. However, these benefits are often subject to a significant co-pay or deductible and have limitations on their amount of benefits. For example, in-patient hospital care is covered for a period of 60 days, but is subject to a $1,024 deductible payment from the patient. An extended hospital stay, beyond 60 days, may require a co-payment of $256 per day. To deal with these costs, low income people may also be covered under Medicaid or carry supplemental Medicare insurance. Supplemental insurance, known as Medigap, is meant to cover the cost of these co-payments or deductibles and may even cover additional hospitalization days. Medicare also covers the cost of a limited stay in a skilled nursing facility. Eligible patients are covered for up to 20 days after which the patient is required to pay a co-payment of $128 per day for a period of up to 100 days.

Case 2 Study Example | Topics and Well Written Essays - 750 words

2 - Case Study Example The number of users also gives the area and the activities where the energy drink will be much needed. In the analysis, it was determined that the energy drink in the United States that is highly consumed is Pepsi-Cola. The company hence should develop a strategy to adequately compete the product. This requires a selected group to be targeted (Fang & Rogerson, 2007). When Andrew Baker need to decide on a product line involving introduction of the brand as a single serve package or a multi-pack, the consideration to be taken into place is the volume of consumption of the targeted group of consumers. In the choice, introducing all the packages will be appropriate since the target consumer market have several characteristic of consumers with different taste and preferences. The alternatives that are available are those of mix packages including, single serve, multi-pack with the package size being 8-16-n 24 ounces. The versions that are available are those of regular and sugar free and flavors of one and two. Provision of the wide range will enable the company penetrate the market as there is consideration of health and medication factors in the products through the different flavors and versions (Fang & Rogerson, 2007). The calculations for sales and positioning are made with consideration of the price and the group that consume the drink. Adults for instance between the age of 35 and 54 have a higher consumption that the other ages. The problem that occurs in the choice of channel is the appropriate channel that the company can take to use so that they are able to reach all the consumers. The company used both off-premises and on-premises retailers with the problem in the decision on the retailers to initially supply. In making the decisions, the company should supply all the off-premises retailers as they will build and expand the market that they have for

Saturday, August 24, 2019

Consideration - Pre-existing Duties and Part Payment of Debts Essay

Consideration - Pre-existing Duties and Part Payment of Debts - Essay Example The facts of the case were that a borrower, Cole, owed Pinnel [the lender] the equivalent of  £8.50 [ £8-10s-0d] which was to be repaid on 11 November. At the lender’s request, the borrower paid  £5.11 [ £5-2s-2d] on 1 October, which the lender claimed to accept in full settlement of the debt.    The lender then successfully sued the borrower for the outstanding amount.   The House of Lords held that since no consideration was exchanged to enforce the promise of the lender to accept part-payment of a debt on the due date from the borrower, then the lender could pursue full payment of the debt at a later date. This remains the general rule at common law.   However, in Pinnel’s Case, it was also said that the agreement to accept part payment would have bound the lender if fresh consideration had been provided to show accord and satisfaction.   This might be: The facts of the case were that a borrower, Cole, owed Pinnel [the lender] the equivalent of  £8. 50 which was to be repaid on 11 November. At the lender’s request, the borrower paid  £5.11 [ £5-2s-2d] on 1 October, which the lender claimed to accept in full settlement of the debt.    The lender then successfully sued the borrower for the outstanding amount.   The House of Lords held that since no consideration was exchanged to enforce the promise of the lender to accept part-payment of a debt on the due date from the borrower, then the lender could pursue full payment of the debt at a later date.

Friday, August 23, 2019

American Born Chinese Essay Example | Topics and Well Written Essays - 1000 words

American Born Chinese - Essay Example They are intended to change the whole viewpoint that the readers have about that particular scenario. These writings are always radical in nature and tend to convince the reader to see things from the same viewpoint. One such text is American Born Chinese, a 2008 graphic novel by Gene Luen Yang and Lark Pien that contains a great deal of protest. It can be easily noticed in the plot development of the story, and this will be the basis of discussion in this paper. The story begins with the monkeys hanging on the trees; generally, one would say that this is the nature of monkeys. They are supposed to live on trees. However, according to Yang, there is one monkey, the king of monkeys that has ruled the other monkeys for many years. At this time, he has mastered the ways of the gods; these ways are the eight Kung-fu disciplines. As a result of his reaching, he yearns to leave the monkeys behind and join the ranks of the gods. This is the first act of protest that we encounter. One could comfortably say that it is part of monkeys’ nature to stay on trees and behave like any other animal (Yang 4). However, here we encounter a monkey that wants to protest against all that and elevate itself to another level. It wants to behave like a god. In addition to this, the monkey wants to protest against the true nature of the monkeys by passing a rule that all monkeys must wear shoes just like human beings. This is another protest because generally, monkeys and all other animals do not wear shoes. For the monkeys, this would even make their life harder since they cannot climb trees while wearing shoes. The monkey becomes arrogant to other gods when he starts to demand that he should be treated like an equal. The leader of the gods, Tze-Yo-Tzuh, tells him, ‘you are what I created you to be.’ Tze-Yo-Tzuh further tells him that he made him from the rock (Yang 7). The monkey challenges the gods’ king to prove this and tries to run away, but the king catc hes him. After learning that he cannot change who he is, he still refuses to repent, and the king of the gods buries him under a mountain rock till a time when he realizes and accepts who he is. Here, Yang tries to prove that when we try to be different persons from what we are we will only end up hurting ourselves. Another protest that we encounter in this comical novel arises from a character, Jin Wang. At this point, Yang introduces us to a boy born of immigrant parents in the United States. His life in the states is virtually peaceful; however, when his family moves from San Francisco to a white dominated suburban region, his life changes. He finds that he is the only Chinese in the whole school, and this fact makes him a subject to the prejudice (Yang 31). This is the point where he begins protesting against his culture. He constantly has to tell the other children in the school that he was born in America, and that his family does not eat dogs. Yang, at this point exhibits ano ther protest, which is against his culture. Jin Wang does not want to be associated with the Chinese way of life yet this is his culture (Yang 31). Jin Wang struggles to fit in his white peers’ way of life in every aspect. He even eats sandwiches (Yang 37), food that is not common for his culture. Jin struggles to be like the whites even when he is not in the school environment. This is evident in the conversation that he has with an old lady about being what he wants to be. The lady replies by telling him, ‘

Thursday, August 22, 2019

Sociology of Prostitution Essay Example for Free

Sociology of Prostitution Essay Prostitution is one topic in which the causes have been debated by many. There are three theories that I will discuss throughout this paper. The theories include a functionalist, feminist, and social psychological view of the subject. The argument that appears more correct is a matter of opinion. The functionalists believe there are two main reasons why a person would become a prostitute. The first reason deals with sexual morality. To break it down further the argument is that our sexual morality system, while condemning prostitution, actually and inadvertently encourages it. We live in a society that encourages the belief that sex with a spouse is â€Å"meaningful† while sex with a prostitute is â€Å"meaningless. † This idea may actually encourage men to seek sex with a prostitute if all they want is meaningless sex. Additionally certain sex acts, such as oral copulation or anal sex, are considered immoral by our society. This means that the common belief among society is that these acts should not be done with their spouse. This may motivate men who desire these acts to seek the services of an immoral prostitute. Another reason proposed by the functionalist is the belief that prostitution actually serves to strengthen sexual morality. Basically the sex industry keeps the â€Å"respectable† women pure because men can satisfy their immoral sexual desires elsewhere. There is some evidence to support the functionalist view of prostitution. Studies have shown that in certain societies such as traditional Asian societies where prostitution is prevalent, respectable women are less likely to engage in immoral sex acts. Read more:  Essay on Prostitution On the other hand many western societies where prostitution is less common, respectable women are more likely to engage in immoral sex acts. Now let’s look at the feminist view. Feminist believe that the functionalist theory is nothing more then a reflection of our society’s sexist views. They believe that the men partaking in the acts are just as immoral as the prostitutes themselves. They take their argument a step further by suggesting that the topic of prostitution is a small part of the larger patriarchal system in which men dominate the exploited women. Feminist also argue that society teaches boys to dominate girls and are expected to continue this behavior into adulthood. On the other hand society teaches girls to be submissive to boys, and to remain that way into adulthood. To prove this the feminist point out that prostitution is more prevalent in societies in which there is a greater presence of gender inequality. The basic idea is that prostitution and a male patriarchy support each other. This is because prostitution supports and encourages the idea that all women can be bought or are less valuable then men. Finally let’s look at the Social Psychological Theory. This theory argues that there are three main reasons why some women become a prostitute. First are predisposing factors such as parental neglect, child abuse, or some other traumatic event. Attracting factors such as the belief that a women can have an easy life or make allot of easy money as a prostitute. And precipitating factors, such as unemployment, peer pressure, or other outside influences. While predisposing factors may cause a women to consider becoming a prostitute, it is unlikely she will actually become one without some of the other listed factors. In my opinion each theory states a very convincing argument. It is difficult to remain unbiased when thinking of this topic due to our personal beliefs. Although the supporters of each theory may not want to admit it, the fact is that if you look close enough you will see they all say the same basic thing. This one thing is the fact that prostitution is not merely an issue that involves prostitutes; it involves all of society and many outside influences.

Wednesday, August 21, 2019

Relationship Between Freedom And Authority

Relationship Between Freedom And Authority In this essay I will discuss the relationship between freedom and authority in Jean-Jacques Rousseaus essay The Social Contract, and John Stuart Mills essay On Liberty. I will argue through my comparison of each philosopher that Mills conception of liberty is the richer and more persuasive of the two. Rousseaus conception of freedom in The Social Contract is that people attain their freedom through a transformation from a state of nature to civil society. We give up our natural freedom in exchange for civilized freedom. His contention is that we can be both free and subject to political authority; Rousseau thinks its possible to be autonomous and subject to law, when we obey those laws of which we are the author. He justifies this model of political authority by saying that government and laws are the will of the sovereign we give our consent for them to exist. That consent is guided by what Rousseau calls the general will. The general will is an idea that signifies the wishes or welfares of society as a whole. The purpose of the general will is to guide society to a common good, to advise society in its creation of laws and express what is best for all individuals. The problem with the general will, Mill claims, is that it seems to reject individual diversity. Mill is worried that minorities may be oppressed if they think differently to the majority. Considering all individuals revoked their natural liberty through the change from a state of nature to civil society, Rousseau thinks that society must force individuals to conform to the general will, or as he puts it, society must force them to be free. He thinks that by associating ourselves with the general will we acquire morality, and actually become freer than we were before. To Rousseau, freedom is attained when one follows the general will. Mills essay On Liberty is a strong counter argument to Rousseaus conception of freedom, especially regarding the general will. Contrasting Rousseau, Mills idea is not a social contract theory. According to Mill, in order for a society to be free it must avoid interfering with the lives of its people wherever possible. The threat, as Mill sees it, is that if we subscribe to the concept of the general will then society risks becoming paternalistic, or a tyranny of the majority where minority views are supressed if they do not conform to those of the majority. Mill thinks that society constrains the individual, and that society should be limited in the power it can exert over individuals; he enumerates three conditions upon which society must follow in order to be free: freedom of thought and feeling, freedom of tastes and pursuits and the freedom to unite with other consenting individuals for any reason providing it does no harm to others. He says that if a society does not follow these conditions it is not free. Mill wants to avoid principles and laws as much as possible because he sees them as unnecessary constraints. The only principle that Mill does want to establish is the harm principle what he calls the object of his essay. The harm principle says that the only time one can interfere with the liberty of another person, individually or collectively, is for self-protection. This principle claims that if an individual is not doing any harm to anyone in their actions, then society has no right to interfere. Over himself says Mill, over his own body and mind, the individual is sovereign it is the individual, and not society, who should decide how best to live. Mills conception of freedom appears to be a version of negative liberty, a type of freedom that allows one to do what they want free from restrictions. His freedom is the absence of obstacles, barriers or constraints. Rousseaus social contract theory is a type of positive liberty, that allows citizens to act in such a way as to take control of ones life and realise ones fundamental purposes. Rousseau characterises two types of freedom in The Social Contract: the natural liberty, which is limited only by the strength of the individual and civil liberty, which is limited by the general will. Natural liberty is the freedom to follow ones own desires. Civil liberty is the freedom one attains when they follow the general will. Like Rousseau, Mill talks about a type of civil or social freedom; however, unlike Rousseau he doesnt speculate about a state of nature. Rather, Mill states that his theory is justified by utilitarianism, he isnt making a comparison between a state of nature and civil society. I think this makes Mills argument more persuasive because he isnt making an assumption that we have natural rights. Mill doesnt seem to think we have natural rights, and even if we do, Rousseau doesnt tell us how we can actually know what they are. Rousseau appears to think that we have an intrinsic freedom that exists in the state of nature, and he wants to merge the individual liberty one supposedly has in the state of nature, with civil society. He thinks the way to do this is by following the general will. I think the biggest problem at the heart of Rousseaus social contract theory is the way he deals with individuals who disagree with the general will. He states that if anyone refuses to obey the general will he will be compelled to do so by the whole body; which means nothing else than that he will be forced to be free. His social contract declares that if an individual disagrees with the general will, then they must be wrong, and for their own good they must be forced to conform to the general will. Mill would undoubtedly consider such forced conformity a tyranny of the majority because of his strong belief that individuality is something that should be cherished and valued. Mill would disagree with Rousseaus notion that people should be forced to be free since he thinks its detrimental to both the individual and the majority when an alternative opinion is oppressed. Rousseau on the other hand, thinks that taking up the general perspective of the community is always the right thing to do. Contrary to Rousseau, Mill doesnt think that the majority gain their power because they are infallible, but simply because they are the most numerous or the most active part of the people. Mill states that silencing the expression of an opinion deprives the human race. Firstly, reasons Mill, if a majority silences an opinion that is different or less popular than their own, and that alternative opinion turns out to be right, then they are depriving themselves of what is right. Almost as great a benefit to society is listening to an alternative opinion even if it turns out to be wrong, because challenging dominant opinion prevents stagnation. Stifling opinion is always a bad thing; Mill says that Absolute princes, or others who are accustomed to unlimited deference, usually feel this complete confidence in their own opinions on nearly all subjects because their opinion is never tested. It is through this collision with error that the truth becomes stronger. Mill thinks that this proc ess of listening to a whole variety of thought and feeling leads to a healthier cultural climate and a place of greater freedom and liberty. Rousseau might object to Mills importance of minority opinion by saying that emphasis on individuality undermines social and political obligations. That its somehow an unrealistic idea to consider everyones opinion. He says in the social contract that citizens must be forced to follow the general will, because it means society will not depend on any one person for change to occur. Rousseau says of the general will that this condition is the device that ensures the operation of the political machine. He thinks its naÃÆ'Â ¯ve to listen to a minority not only because he assumes they must be wrong, but because they prevent the political system from making any progress. Rousseau thinks that without the general will, a political system would be absurd and tyrannical, and subject to the most terrible abuses. However, Mill would still disagree and respond by saying that if all mankind minus one were of one opinion, mankind would be no more justified in silencing that one person than he, if he had the power, would be justified in silencing mankind. I think where they really differ here is that Mill doesnt think anyone can be free if theyre forced to conform to the majority, whereas Rousseau thinks conformity is necessary for liberty and best for the community- he says that every authentic act of the general will, obligates or favours all the citizens equally. He knows that its unrealistic that all citizens will agree to the general will, and so he says minorities must be forced to follow it (forced to be free). Perhaps its painfully obvious here that Rousseau has left himself in a vulnerable position he doesnt really explain to us how one must be forced to follow the general will. Thus, theres possibly an element of compatibility between Rousseaus and Mills conceptions of freedom. If its the case that the process of being forced to be free includes Mills notion that people should be free to debate and discuss, and providing everyones opinion is treated with respect and they are convinced, through discussion, to change their vi ews, then its certainly possible that eventually all citizens will individually come the same conclusions about the common good of their community. Its certainly conceivable, but it seems unlikely. Even if this compatibility were to exist, Mill would object by saying that we still need a variety of opinion even if its wrong to prevent social stagnation and to challenge popular views. He would say that providing an individual is doing what they please by means of the harm principle, then society has no right to demand such an active citizenship from them. Rousseau may take issue with Mills harm principle but asking what actually constitutes harm. Its obvious that physical harm is detrimental and people shouldnt be free to harm others but there are forms of consequentialism that can piece together seemingly harmonious actions, and prove that they actually have damaging effects. For instance, universal consequentialism focuses on the consequences for all people rather than the individual agent. Rousseau might say that a person may not seem to be harming another individual in their actions, but an ingenious person could find harmful consequences for almost anything a person does. One might find themselves aroused by conflicting emotions if made to choose between the philosophies of Rousseau and Mill, depending on how they feel about an issue. It seems especially difficult to feel one has to conform to the majority when they disagree with it, but of course when one is on the side of the majority it can be hard to understand why anyone wouldnt be. The majority of climate scientists support global warming, and if one believes in global warming it seems hard to understand why anyone would reject it. If you want gay marriage but the majority doesnt, it seems crazy to think you have to conform to the general will. I think this is what makes Rousseaus and Mills conceptions of freedom so attractive to us. I find Mills argument to be more persuasive than Rousseaus because even with modifications to Rousseaus social contract, the general will seems unable to avoid a tyranny of the majority. The general will seems too abstract to utilise without thinking of it as simply the sum of all private interests; Rousseau makes it hard for us to recognize what the general will is or how to determine it, and he offers no reassurance that the majority knows what is best. He seems to be making a huge assumption that we have natural rights in the first place, but he provides no evidence for them. Works Cited Mill, John Stuart. On Liberty and The Subjection of Women. London: Penguin Group, 2006. Rousseau, Jean Jacques. The Social Contract, A new translation by Christopher Betts. New York: Oxford University Press, 2008.

Tuesday, August 20, 2019

Multidisciplinary Care Worker

Multidisciplinary Care Worker M2 In Mrs Cs case a she has to be provided a key worker who would be working with her by ensuring that all her need is met and also involve other multidisciplinary team and inter-agency team within the health and social care setting to take part in conducting a care plan for Mrs C during the her care planning process. The care worker would get other discipline and agency involve in Mrs Cs case because she was bought from the hospital into the care home so therefore they know much about her medical condition and the type of care she require; it also ensure that beneficial approaches are devised in order to meet her specific needs, and also improve her state of well-being. The following groups of multidisciplinary team and inter-agency would be involve in Mrs Cs case; Multidisciplinary team include Radiographic This team are very important member involve in the care planning process Mrs C, this team provide certain level of care for Mrs Cs case because they only provide limited care as they use X-ray to diagnose the type of arthritis together with the signs and symptoms of her condition. After Mrs C has been diagnosed to have Rheumatoid arthritis different member of the multidisciplinary team were working hand in hand with one and other to find the suitable medical service and treatment that would help improve Mrs Cs condition without any complications. Physiotherapist In most cases skeletal disorder like Mrs Cs Arthritis, exercise and physiotherapy is very important in order to prevent her joint from becoming so stiff, ease off pain and keep her muscles active. Furthermore her key worker in the care home where she has been taken into can also organise other form of treatment apart from visit from her physiotherapist could be a session of massage, infra-red heat treatment and hydrotherapy (exercising in water) this cold be on once a month basis. Doctors/GP The GP and the Doctors is important member because they provide medical history for other teams involved in Mrs Cs situation. Furthermore they also carry out countless consultation session with Mrs C in order to control and monitor her blood pressure and prescribe necessary medication and treatment that would be best suit her condition. After the GP has pass the information to the necessary team involve in Mrs Cs case during her time in the hospital the practitioners would use this information to plan how they would meet her specific need and include the necessary agency that help in planning her care needs. Nurses The nurses is also involve in medication process because they are in involve in giving medication and provide medical support that Mrs C require in order to improve her health statues this is done effectively by making sure that they work hand in hand with practitioner involve and making sure that they have effective communication skill and good team work within themselves as it help with the type of care service that thy would be proving for Mrs C. Interagency team Family and friends Come visit her from time to time, this would help reassure her and help keep her confidence as seeing her family and friends around her regularly would her improve in health wise. Interpreters and translators Would help her communicate with the care provider, the translators and the interpreters would help express and rephrase what shes saying in her language since she doesnt understand English. This service would help the care provider know what she needs as an individual and they would know what to do in order to meet and specific need. Activity officer They organise different activities of which Mrs C can get involve in. this could include a day out to the park or take her to day care centre for people who has the same disease has she does. Doing this would help her improve the way she view and value herself within the care home, more so seeing other people with the same condition or worse would help regain her self-esteem and self-image. Social worker The welfare of Mrs C is very important so therefore by ensuring that she gets the sufficient help from other disciplines and agencies. The social worker visit Mrs C from time to time in order to check on her and see how her health is improving and also they would review her condition to see if the care home is staying is suitable for her and if its any beneficial for her staying there or not. Multidisciplinary and inter-agency teams contribute to the care planning process carried out for Mrs C, all these member of team are including in the assessing and implementing the specific medical treatments that would best suit Mrs Cs situation. The multidisciplinary and interagency team come together in order to provide a best form of care for Mrs C they do this by communicating using the holistic approach on whatever step they are going to take concerning Mrs C. The two team identify the specific needs of Mrs C and then compromise and set satisfying goals that they all feels would best meet her needs with high standard and considering her rights, choice, values and belief. D1 Evaluate the role of multi-disciplinary and inter-agency working in social care Multi-disciplinary and inter-agency team provide and contribute optimistically in improving service users health and well being, using the care plan would make it conducive for them to collaborate amongst themselves. Both sets team come together at the start of every care planning process for all individual receiving care within the health and social care setting and the three to six months care assessment intervals and the evaluation process for each service users based on the particular changes made. According to Nolan et al (2005) â€Å" the changes do not have to be major, but they can have a significant impact on the persons life†. However, multi-disciplinary and inter-agency team working help with the improvement of the care planning process, on the other hand it has both positive and negative impact on the way care is provided for people receiving care service. The positive impact multi-disciplinary and inter-agency working together help create interdependence; this means that everyone in the team all depend on one another. Multi-disciplinary and inter-agency working within the health and social care setting is that each member of the team has a key role to play in improving the health well- being of an individual within receiving health care service. Forth most no one role is more important than another as they all work hand in hand with one an other to provide a competence and effective team working by making sure that they provide a high standard of care to the service users at all time. The main important factor of the role of multi-disciplinary and inter-agency working enables everyone involve in providing care to bring and combine their skills and expertise within the multicultural society of which increases the opportunities to learning and new experience, all of which would contribute to an improvement in health and social care experiences, system and structures because they all implement their different skills to create a better way of providing good standard of care for the public. According to Mason et al (2007) there are wide range of medical advancements that have originated aboard and are now being used to improve medication and treatment services in this country†. With so many different medical team working together from different country it has help with the improvement and advancements of care provision for people undertaking care service in the UK, so therefore multi-disciplinary and inter-agency team has really improve with the service provide a nd more so it has crate a better team work and communication skill amongst the health care service provider. The negative impact of the role of multi-disciplinary and inter-agency working in social care is that the whole process of them working together doesnt always work because not every member of the team talk to one and other so therefore there would be some few communication breakdown due to lack of information. Further more, when there are too many teams working together the patient they are working would be affected because different member of the team sees them. For example; for someone who is suffering for a chronic condition having to see different consultant would be really difficult situation for them because they would have to adapt to different doctors each time they have appointment and sometimes the consultant they have to see might not have went through their document to know their medical statues so therefore he or she might ask the patient to tell him or her about the main reason why they are there. This could be as a result of lack of information or because the entire co nsultant are from different department or organisation the information isnt fully pass across to necessary people that are meant to know. Furthermore due to several agency working with the service user the appointment system is bad because the time set isnt conducive for the patient so therefore they find it difficult to cancel or made known that an appointment has been cancelled. Reference: Stretch B (2002) Unit 1, BTEC National Health and Study. Oxford: Heinemann Health and Social Care, Series editor: Beryl Stretch, 2007

Monday, August 19, 2019

Schizophrenics and Schizophrenia: Drugs are NOT the Solution :: Biology Essays Research Papers

Schizophrenics and Schizophrenia: Drugs are NOT the Solution Last month, I shadowed a physician for four days. When I arrived at her office on the first day, she said to me, "Prepare yourself, we are going to the Provident." The Provident is a nursing home for the severely mentally ill. Many of the patients living there are under fifty years old, some are as young as thirty. None of the residents have any money. All are receiving welfare and are on Medicare. We entered the building into a room where approximately 15 people were sitting in chairs. Most were staring straight ahead, eyes glazed. Some were chattering quietly to themselves, some were walking around with an awkward gait. As I walked further through the floor looking into rooms, I saw many people sleeping in their beds. I couldn't help but wonder what it would be like if the people living at the Provident were suddenly not taking any medication. Would they be out of control? Was it possible that beneath all of the drug-induced stares, shakes and speech impediments that an alert person existed? Perhaps their diseases had prevented them from interacting with other people in what would be considered a "normal" way. But are they better off now that they are too drug-altered and often depressed to interact at all? As a society, we try to get rid of things we are afraid of, things which make us nervous and things we don't understand. Perhaps mental illness is not so much a problem for the mentally ill, but for their communities who can not and will not empathize with them. I wonder if people suffering from a mental illness are not really suffering at all, but are simply a behavioral minority. Their behavior prevents them from being accepted by the majority. They can not find work or often even a place to live, as these things are controlled by the majority. Instead, for those that are ironically considered lucky, the majority gives them medication and often sends them away to a locked facility. For this second web-paper, I will try to explore these questions by learning about schizophrenia, a common diagnosis at the Provident. Some have argued that people "afflicted" with schizophrenia have a damaged I-function. That is, schizophrenics are not capable of responding appropriately to their environment because their I-function is not fully grown or as well-developed as a "healthy" person. Schizophrenics and Schizophrenia: Drugs are NOT the Solution :: Biology Essays Research Papers Schizophrenics and Schizophrenia: Drugs are NOT the Solution Last month, I shadowed a physician for four days. When I arrived at her office on the first day, she said to me, "Prepare yourself, we are going to the Provident." The Provident is a nursing home for the severely mentally ill. Many of the patients living there are under fifty years old, some are as young as thirty. None of the residents have any money. All are receiving welfare and are on Medicare. We entered the building into a room where approximately 15 people were sitting in chairs. Most were staring straight ahead, eyes glazed. Some were chattering quietly to themselves, some were walking around with an awkward gait. As I walked further through the floor looking into rooms, I saw many people sleeping in their beds. I couldn't help but wonder what it would be like if the people living at the Provident were suddenly not taking any medication. Would they be out of control? Was it possible that beneath all of the drug-induced stares, shakes and speech impediments that an alert person existed? Perhaps their diseases had prevented them from interacting with other people in what would be considered a "normal" way. But are they better off now that they are too drug-altered and often depressed to interact at all? As a society, we try to get rid of things we are afraid of, things which make us nervous and things we don't understand. Perhaps mental illness is not so much a problem for the mentally ill, but for their communities who can not and will not empathize with them. I wonder if people suffering from a mental illness are not really suffering at all, but are simply a behavioral minority. Their behavior prevents them from being accepted by the majority. They can not find work or often even a place to live, as these things are controlled by the majority. Instead, for those that are ironically considered lucky, the majority gives them medication and often sends them away to a locked facility. For this second web-paper, I will try to explore these questions by learning about schizophrenia, a common diagnosis at the Provident. Some have argued that people "afflicted" with schizophrenia have a damaged I-function. That is, schizophrenics are not capable of responding appropriately to their environment because their I-function is not fully grown or as well-developed as a "healthy" person.

Describe The Roles Of Government In The Present Business Environment :: essays research papers

Describe The Roles of Government In The Present Business Environment   Ã‚  Ã‚  Ã‚  Ã‚  In the present business environment governments have the power to change and make laws, having a major role and influence on the business environment. There are three levels of government; federal, state and local.   Ã‚  Ã‚  Ã‚  Ã‚  The federal government has power over such areas as; company law, income tax, trade etc. State government has power over pollution, price controls, state courts etc. and local government has power over rates, building approvals and zoning. Through zoning the local government can decide where businesses are located, or how many similar businesses should be built in a particular area. The power of the government can have direct or indirect influences on the business environment, encouraging or forcing businesses to comply. The federal government has the greatest effect over the macroeconomic business environment through the making of policies. The government has a number of economic objectives. They aim to have consistent economic growth, low rates of inflation, a sound international trading situation and low unemployment. To meet these objectives the government must place policies such as fiscal, monetary, trade and income policies.   Ã‚  Ã‚  Ã‚  Ã‚  Fiscal policy is the deliberate action of the government to change its levels of income and expenditure, through the annual budget. By budgeting for a deficit or surplus, the government will contract or expand the economy. e.g If the government needed to cut unemployment they would budget for a deficit so more money is injected and less money is taken from the economy by less taxes and higher expenditure raising employment.   Ã‚  Ã‚  Ã‚  Ã‚  Monetary policy can also raise the level of economic activity. It controls the availability of money by influencing the level of interest rates. Lowering interest rates encourages people to spend and borrow while higher interest rates encourages people to save and not borrow. By lowering interest rates the government encourages spending thus increasing the level of economic activity.   Ã‚  Ã‚  Ã‚  Ã‚  Income policies influence wage outcomes by negotiating with the unions and the employers and putting arguments before the industrial relations

Sunday, August 18, 2019

Budget Cut Problems Essay -- Education Essays

Budget Cut Problems In the article â€Å"Budget Cuts Multiply Students Debt† Bruce Parsons state that the budget cuts problems are not only in the tuition increase. Parsons argues that because of the budget cuts that it is hard to keep up with class work. He states that the students are to download everything and absorb the cost of printing themselves. Which adds to the cost of being a student. Parsons says that higher education has become more about profit than about learning. In conclusion Parsons states that what many people forget is that everyone is not luck and fortunate as others. Parsons first point was that the budget cut problems were not only in the increase in tuition but in the jobs in our area. In agreeing with Parsons, I believe that the budget cut will decrease our jobs. As a college student who has two more years left in college I am worried about getting the job I want. Right now I am working in a fast food restaurant and I do not plan to be there forever. So I would have to agree with Bruce Parsons that the budget cuts do pose many problems. The next point that Parsons makes is that because of the budget cuts there is a shortage of paper on campus. Students are to download syllabus and absorb the cost of printing themselves. Therefore, raising the cost of being a student. I can’t say that I completely agree with this point. In the couple of years that I have been in college I have never had to print syllabuses off of the Internet. I was always given a copy from my instructor. Another point made by Parson is that higher education has become more about profit instead of learning. I would have to say that I agree with this point. It seems today that all the budget cuts comes in the form of education.... ...ery seldom do you hear a parent encourage a child to be a teacher. Why is that? Because when it comes to cutting the budgets education comes first. Meaning lower pay cuts for teachers. Giving us fewer subjects to choose from. In most cases no arts and humanities. It all seems to go into a vicious circle we need an education to become a doctor or a lawyer. But then there are budget cuts and tuition goes up. Those who can afford the education cost becomes doctors and lawyers while those who better suited for the jobs become the working class that helps pay for these doctors. Other wise any of the less fortunate people have to go into debt to afford a decent tuition. Works Cited: Parsons, Btuce. â€Å"Budget Cuts Multiply Students Debts.† The Trail Blazer Online. 18 February 2004. Morehead State University. 18 February 2004.

Saturday, August 17, 2019

Immigration

Immigration is a really big topic that is being discussed by our president and all of our citizens which people have two different views on but,I believe, immigration is a great cause for the United States. Due, to the fact that the United States was built upon immigration from many other countries. I believe that it can create a lot of good if we keep allowing immigrants to become citizens to a certain extent and we should keep it regulated. Immigration has been a part of the United States for years now. According to U.S. Immigration Before 1965 (U.S. Immigration Before 1965),more than two million immigrants have entered the United States in the years of 1880 through 1920.This helped populate the U.S during its beginning years when it was trying to expand and grow as a country. The immigrants who came from other counties in that time came to find religious freedom and find a better life for their families. Our current president wants to build a wall to keep Immigrants out of the US. he does not want immigration to be apart of the US because he believes that they would take our jobs and he believes that most of the people who come to the united states from mexico are all of the felons or people who come to the US to break the US apart and kill people when in reality they all have the same believes that the first immigrants had who came to the US they are coming to the US to start over try and provide for there families and look out for their future kids. Other people in the US believe that they will just come to the US to take our jobs and our money that we can be making when Usually they take jobs that no one would ever take here in the US they take the jobs that most people in the us think is to hard like working in the fields and in factories and other jobs. They also get paid less than minimum wage for doing jobs that people should get paid more for because they are producing our for economy by creating jobs and our produce of fruit and vegetables or anything that is made in a farm is usually grow and picked by these people who are really hard working and are just trying to make a living for there family and themselves. Another reason i believe that immigration would be great for the US is because our economy can benefit greatly if we allow immigrants to become citizens they can generate about 832 billion dollars to our economy in the next ten years which would help the us greatly the US this can help create over 203,000 jobs a year which would help the economy out a lot it would give us more jobs and it would also help the US with the economy because more money would be generated after all those jobs are created. Most immigrants have wanted to come to the US to follow their dreams and do what they can to to support their family and give them a better future in life and just most of the immigrants who came over from mexico are coming from a place where the drug cartel is reigning over there city or state and they are trying to get away from the bad that comes along with it they are trying to stop there kids from getting kidnaped and sold for money those people who are trying to get away from that believe that the US can provide that for them and they believe that they can provide something for the economy too. I am a first generation and have watched my family struggle through all the hardship that they have come across due to the fact that they never had any help from the government when all they are trying to do is help the american government and provide for their kids. In the US there are so many people who are for the legalization of immigration. â€Å"80% of americans surveyed said that they support the pathway to citizenship†(Most Americans support the path to citizenship for illegal immigration) this shows that most people would allow immigrants to become citizens. If 80 % of the people are for it then why does the US not allow them to become citizens. â€Å"72% of these who backed president Trump also support the issue† (Most Americans support the path to citizenship for illegal immigration) Its know that president trump doesn't want to allow immigrants to become citizens but most of his voters have spoken up saying they have no problem with it at all and would allow them to become citizens. Its scary to see that there is a lot of criminals and violence in this world and you as an american would not want that for your country. Yes, the mexican drug cartel has spilled over the us border according to the article (illegal Alien criminals should be removed from the country) and it is scary but not all mexican people are drug dealers or people from the cartel. â€Å"They are families and workers, taking the jobs nobody else wants, staying out of trouble,†¦Ã¢â‚¬  (the realities about illegal immigrants in the united states) Most of the immigrants who came to the us came to help support their family in hopes to find a job to help get out of all the dangers in mexico.They left everything behind to risk it all for the american dream to have a good family and have enough money to better there kids futers and get them ready for life. I believe that if we still allow immigration to the United states it can benefit the US a lot im not saying fully legalized but if we monitor it a lot more and and only let a select few people migrate over to the US we wouldn't have to deal with some of the downfalls of the immigration like tax increasing and other things like crime rate going up in the united states because there are some people who are criminals but most of the people who come to the us don't come here for that reason they come to help there family witch i really emphasis because not all immigrants are bad.

Friday, August 16, 2019

Referring to Iago’s soliloquy at the end of Act I scene III, examine what Shakespeare shows the audience about his character

Iago is one of the central characters within Shakespeare's ‘Othello' and is introduced extremely early in the play, Act I scene I. It is generally assumed from even this early in the play that Iago is cunning, plotting man as he converses with Rodrigo. Throughout the centuries the common opinion on Iago is that he is an insidious, misogynistic, materialistic, dissimulating character, among other things. Few critics have spoken in appraisal of Iago's character and actions. In act I scene III, Iago ends the scene with his first soliloquy. Soliloquies generally reveal a lot about a person's character to the audience, but this is the first time the audience gets a taste of his thoughts. He begins by discussing Rodrigo: ‘My fool my purse' This is particularly dissimulating as he had just been talking to Rodrigo, planning how to match make him with Desdemona. This is a running theme, Iago's manipulating, and two-faced dealings. This links with: ‘That thinks men honest that but seem to be so' As Rodrigo is not the only character in the play that falls for Iago's deceptions. The next part of the soliloquy that reveals a lot about Iago's character is his admittance to using Rodrigo for his own benefits: ‘But for my own sport and profit' Iago can use Rodrigo using his manipulative powers of speech, he deceives Rodrigo to gain money off him and use it for his own needs rather then on the task it was intended for. By referring to this task as a ‘sport' it also implies that Iago receives some pleasure from deceiving people, that he finds this fun and does this for his own fun. The audience is left doubting his character and feels sympathetic for the other characters involved in Iago's deception. Iago then reveals a possible motive for his inexcusable behavior: ‘that ‘twixt my sheets' Iago thought that at some point Othello had cuckolded him, led Emilia astray from their marital bed. Iago displayed the same reaction that most men would, and so felt betrayed and angry, although he did not know for sure that the act occurred. This is a good argument against Coleridge's critical comment on his actions. He described his actions as: ‘Motiveless malignity'. This does appear to be the case, to a certain extent. Especially for a modern day audience, we find it harder to accept that Iago would become so nasty to people so close to him, but to an Elizabethan audience it would be more believable without any motive behind him. This part of the speech may not excuse his behavior for the rest of the play, but it is a starting point, it gives the audience something to relate to, to begin to justify his actions. ‘Cassio is a proper man' with this sense of the word, proper means handsome rather then suitable. This appears to be a compliment to Cassio, but again Iago is using him for his own means. Iago can use Cassio's good looks and status in society to create the allusion of an affair with Desdemona. Othello only becomes jealous because there is something to be jealous of, if Cassio was not handsome and admirable Iago would have nothing to create the jealousy from. This is yet another example of Iago using people close to him to gain what he wants. Iago appears to be a character that is trusted, by almost everyone other than Desdemona. She comes across as more suspicious character, as she questions Iago rather then just falling for every word he says. Iago knows that his fellow soldiers and people in society trust him, yet another way in which he can use manipulation as there is grounds for him to manipulate. This is shown when he says: ‘The Moor is of a free and open nature, That thinks men honest that but seem to be so' Iago actually admits to his deceitful nature, and ridicules Othello for being so trusting. This is the entire base for the play; if Iago weren't so â€Å"trustworthy† then Othello would have no reason to believe his accusations of Desdemona. It is this perception that makes the play possible. Othello is Iago's general; therefore he should be respected, and not ridiculed, which he is in this soliloquy: ‘As asses are'. It is disrespectful for Iago to be referring to his general as a fool, whether he is a Blackamoor or not. This shows that Iago is not a decent character; he does not even have the decency to respect his general, let alone other aspects of his character. Towards the end of the soliloquy, Iago refers to: ‘Hell and night' Which would have been a lot more relevant to an Elizabethan audience as it represents the devil and malicious behavior. It is ironic that he uses devilish language, as he is associated with the devil due to his evil character. To emphasize this point, he also says: ‘Monstrous birth to the world's light'. This also would have had a greater impact on an Elizabethan audience, and this is only the beginning of the devilish language used by Iago. It was said by William Turnbull that: ‘Iago is an unbeliever in, and a denier of, all things spiritual, who only acknowledges God, like Satan, to defy him'. (Othello: A Critical Study, 269) This is proved throughout the play by constant references to the devil, night, dark and Iago's actual behavior and attitude to situations. Finally, this soliloquy shows a great deal in its length. Within twenty-two lines, Iago has explained his actions, had no plan and conceived a plan and becomes anxious to begin. This shows his ability to improvise quickly and leaves the audience wondering how often he uses this ability, when he was with Rodrigo? Othello? Cassio? To conclude, Shakespeare uses this particular soliloquy to allow the audience to see what we believe to be Iago's true personality. We learn that he is definitely dissimulating, manipulative, deceitful, and disrespectful, a slanderer and cunning. Before this the audience could only speculate on this and the remainder of his personality as he shows different sides to different people, he has been referred to as ‘an onion' and ‘Janus, the Roman god' because of his multiple personalities.