Saturday, August 31, 2019

Field Programmable Gate Arrays and Applications

Chapter 2 Field Programmable Gate Arrays and Applications ( FPGA ) 2.1 Introduction to FPGA: A FPGA is a device that holds a lattice of reconfigurable entryway exhibit logic hardware. At the point when a FPGA is arranged, the inner hardware is joined in a mode that makes adjustments executing of the merchandise proviso. Dissimilar to processors, FPGAs usage committed equipment for managing logic and do n't hold a on the job model. FPGAs are truly parallel in nature so typical transforming operations do n't necessitate to seek the same assets. Therefore, the executing of one some piece of the proviso is non influenced when excess preparing is included. Additionally, different control circles can run on a lone FPGA appliance at typical rates. FPGA-based control models can authorise basic interlock logicand could be intended to debar I/O drive by an decision maker. Nonetheless, dissimilar to hard-wired printed circuit board ( PCB ) plans which have altered equipment assets, FPGA-based models can really rewire their interior hardware to allow reconfiguration after the control mo del is sent to the field. FPGA appliances convey the executing and dependableness of devoted equipment hardware. A individual FPGA can replace many distinct sections by consolidating a big figure of logicentryways in a lone coordinated circuit ( IC ) bit. The interior assets of a FPGA bit comprise of a grid of configurable logicsquares ( Clbs ) encompassed by an outskirts of I/O pieces. Indexs are directed inside the FPGA grid by programmable interconnect switches and wire classs. 2.1.1 Need of FPGAs: By the early 1980 ‘s extended graduated table coordinated circuits ( LSI ) structured the spinal column of a big part of the logiccircuits in important models. Chip, transport/IO accountants, model redstem storksbills and so on were actualized utilizing integrated circuit industry invention. Irregular â€Å" paste principle † or interconnects were still needed to assist fall in the huge integrated circuits to: 1. Produce world-wide control marks ( for resets and so forth. ) 2. Information marks get downing with one subsystem so onto the following bomber model. Systems normally comprised of few huge graduated table coordinated parts and extended figure of SSI ( small graduated table incorporated circuit ) and MSI ( average graduated table incorporated circuit ) components.intial enterprise to take attention of this issue prompted betterment of Custom Ics which were to replace the expansive step of interconnect. This reduced model elaborateness and piecing cost, and enhanced executing. Then once more, usage Ics have their ain peculiar hinderances. They are by and large highly extortionate to make, and delay acquainted for point with concern sector ( clip to market ) in visible radiation of expanded lineation clip. There are two kinds of disbursals included being developed of usage Ics 1. Expense of promotion and constellation 2. Expense of production ( A tradeoff by and large exists between the two disbursals ) Therefore the usage IC methodological analysis was executable for points with high volume, and which were non clip to market delicate. FPGAs were acquainted as an option with usage ICs for realizing whole model on one bit and to give adaptability of reprogram ability to the client. Presentation of FPGAs brought about alteration of thickness in regard to discrete SSI/MSI sections ( inside around 10x of usage ICs ) . An alternate playing point of FPGAs over Custom Ics is that with the aid of machine helped constellation ( CAD ) devices circuits could be executed in a short step of clip ( no physical design transform, no screen devising, no IC piecing ) . 2.2 FPGA Design Flow: A standout amongst the most imperative focal points of FPGA based lineation is that users can be after it utilizing CAD instruments gave by constellation cybernation organisations. Bland constellation watercourse of a FPGA incorporates wining stairss: 2.2.1 System Design: At this phase conceiver need to take what section of his utility must be executed on FPGA and how to organize that utility with remainder of the model. 2.2.2 I/O integrating with remainder of the system: Input Output watercourses of the FPGA are coordinated with remainder of the Printed Circuit Board, which permits the lineation of the PCB quickly in constellation procedure. FPGA merchandisers give extra cybernation programming replies for I/O outline procedure. 2.2.3 Design Description: Designer depicts outline usefulness either by using conventional editors or by using one of the different Hardware Description Languages ( HDLs ) like Verilog or VHDL. 2.2.4 Synthesis: Once lineation has been characterized CAD instruments are utilized to put to death the constellation on a given FPGA. Amalgamation incorporates bland promotion, slack promotions, power betterments took after by agreement and directing. Use incorporates Partition, Place and class. The output of constellation executing phase is bit-stream papers. 2.2.5 Design Confirmation: Bit stream papers is bolstered to a trial system which reenacts the constellation utility and studies faux pass in desired behavior of the lineation. Timing instruments are utilised to concentrate greatest clock return of the constellation. Soon the lineation is stacking onto the mark FPGA appliance and testing is carried out in nature ‘s sod. 2.2.6 Hardware design and development: The general methodological analysis of adjustments betterment for programmable logicis demonstrated in Fig. 2.1 and depicted in the subdivisions that take after. Possibly the most dramatic differentiation between equipment and scheduling lineation is the manner an applied scientist must chew over the issue. Programing applied scientists have a inclination to believe in turn, really when they are making a multithreaded requisition. The lines of beginning codification that they compose are invariably executed in a specific order, at any rate inside a given twine. On the off opportunity that there is a working model it is utilised to do the visual aspect of correspondence, yet there is still merely one executing motor. Throughout outline entryway, equipment fashioners must think-and system in analogue. The greater portion of the info indexs are transformed in analogue, as they go through a set of executing motors each one of an agreement of macrocells and interconnections-to their end o utput marks. Fig 2.1: Programmable Logic Design Process Normally, the constellation entryway measure is taken after or assorted with times of utile reenactment. That is the topographic point a trial system is utilized to put to death the lineation and affirm that the right outputs are processed for a given set of trial inputs. Despite the fact that issues with the size or timing of the equipment may at present manifest subsequently, the Godhead can at any rate make certain that his logicis practically right before go oning to the undermentioned stage of betterment. Gathering merely starts after a practically right representation of the equipment exists. This fittings agreement comprises of two alone stairss. First and first, a center of the route representation of the equipment lineation is generated. This measure is called combination and the consequence is a representation called a netlist. The netlist is gadget independent, so its substance do n't trust on upon the specifics of the FPGA or CPLD ; it is by and large put away in a standard organisation called the Electronic Design Interchange Format ( EDIF ) . The 2nd venture in the reading methodological analysis is called topographic point & A ; class. This measure includes mapping the consistent constructions depicted in the netlist onto existent macrocells, interconnectednesss, and include and yield pins. This process is like the relative venture in the betterment of a printed circuit board, and it might likewise take into history either programmed or manual design sweetenings. The effect of the topographic point & A ; class procedure is a bitstream. This name is utilised blandly, irrespective of the manner that every CPLD or FPGA ( or household ) has its ain, typically sole, bitstream group. Suffice it to state that the bitstream is the mated information that must be stacked into the FPGA or CPLD to do that bit to put to death a specific adjustments lineation. Increasingly there are to boot debuggers accessible that at any rate take into consideration single-venturing the equipment program as it executes in the programmable logicgadget. Anyway those merely supplement a reenactment environment that can use a per centum of the information created throughout the topographic point & A ; class venture to give door degree diversion. Clearly, this kind of incorporation of appliance peculiar informations into a nonexclusive trial system obliges a great working relationship between the bit and reproduction setup Sellerss.

Friday, August 30, 2019

Work Effectively with in Mental Health 21503

ASSIGNMENT Work Effectively in Mental Health CHCMH301A 21503A STUDENTS ARE ONLY REQUIRED TO COMPLETE PART B. PART B. Essential Knowledge Case Study Lee 1. What are some of the stigmas surrounding mental illness? Stigma is when someone judges you based on a personal trait. Unfortunately this is a common experience for people who have a mental health condition. Stigma may be obvious and direct, such as someone making a negative comment about your mental illness or treatment. Or it may be subtle, such as someone assuming you could be unstable, violent and dangerous. Some of the issues facing those suffering mental illness may include: Discrimination at school or work Difficulty finding work Bullying, physical violence or harassment The belief that you will never succeed at certain things, or that you can’t improve your situation 2. Mental illness is a form of disability. What does this mean in terms of legislation and standards of practice for people who experience mental illness? This means people who are suffering from mental illness are protected from direct or indirect discrimination based on disability. They are protected under a number of Acts. It also ensures they have access to, and are offered ital services and support. 3. How can the recovery model be applied to Lee’s situation? It is essential to involve Lee in the development of a recovery program to suit him and his situation, as well as the relationships in his life. The program you develop should be person-centred, and respectful of Lee’s lifestyle choices, pr eferences, goals, rights and responsibilities. Support and services for Lee, such as: Social interaction Employment, training, learning new skills Peer support groups & Education regarding Mental illness, Body dysmorphic disorder, Would all be beneficial to him, but he must be interested and willing to participate. . What rights and responsibilities will Lee have as a client of the mental health service? Lee has the right to: *Accurate and easy-to-understand information *Make decisions when possible *Relevant services (have access to) *Confidentiality *Complain and appeal *Be free from discrimination, to be treated with respect and as an individual Lee’s responsibilities include: *Participation in his recovery program planning *Informing his support group *Actively participating in the services, programs he has agreed to partake in *Seek help if he is feeling out of control, discriminated against, or fearful of a situation 5. What rights and responsibilities will Barbara have as Lee’s carer? Will Barbara have access to Lee’s personal and health information once he becomes 18 years old? As Lee’s carer, Barbara has a right to: *Current and accurate information *Advocate for Lee if she needs to *Be treated with respect and non-discrimination *Participate in the program planning process *Complain and appeal *Confidentiality Barbara has a responsibility to: *Advocate for Lee if needed *Share vital information with the care team *Work with others to help Lee succeed in the program *Respect Lee’s decisions *Care for Lee without discrimination Be aware of the Legislation surrounding caring for the mentally ill *Identify and respond to Lee’s risk of self-harm Barbara must obtain Lee’s permission to access his information once he turns 18 years old. 6. What action could be taken if Lee does not comply with his medication regimen or continues to be violent? Lee could be admi tted to hospital for medical treatment, or into a facility that specialises in Mental Illness. This is not only to protect him, but also those he lives with, as everyone has a right to be safe. 7. Lee’s father, Frank, is not coping with Lee’s disclosure of his homosexuality. Frank feels that Lee may be confused and not have sufficient knowledge or experience to be sure of his sexual preference. He would like Lee to receive counselling to help ‘sort this problem out’. What advice would you give Frank? You must remember to be respectful of Frank’s opinion and views. I would offer Frank information on homosexuality so he may better understand his son’s sexual preference and also suggest joining a support group. Frank cannot be told how to feel about his son’s sexuality, but giving him information may help him to understand and accept it more easily. . What other support and services are available to support Lee to live independently in the community if he chooses to leave the family home at some stage? *Housing assistance *Income support services *Community support groups *Education, training and employment services *Transport services REFERENCES/BIBLIOGRAPHY Aspire Training and Consulting Cengage Education PTY LTD 2010 www . health. qld. gov. au/mentalhealth www. wikipedia. org/bodydysmorphicdisorder www. au. reachout. com www. communities. qld. gov. au/supportservices

Thursday, August 29, 2019

Case Briefing and Problem Solving

doesn’t owe an ethical duty to remove the product from the market unless the company doesn’t warn its customers of the danger they can meet upon misuse of the product. If the company takes all the measures to warn their customers of the danger of the product once it’s misused, customers have knowledge of the risk and voluntarily assume it. For example, the use of any antibiotics with the alcohol can lead to many harmful processes and activities. Nevertheless, pharmaceutical companies don’t remove these products from the market because of that. It’s a customer’s responsibility to use the product properly. Case problems 8–1 Business Ethics. Jason Trevor owns a commercial bakery in Blakely, Georgia, that produces a variety of goods sold in grocery stores. Trevor is required by law to perform internal tests on food produced at his plant to check for contamination. Three times in 2008, the tests of food products that contained peanut butter were positive for salmonella contamination. Trevor was not required to report the results to U. S. Food and Drug Administration officials, however, so he did not. Instead, Trevor instructed his employees to simply repeat the tests until the outcome was negative. Therefore, the products that had originally tested positive for salmonella were eventually shipped out to retailers. Five people who ate Trevor’s baked goods in 2008 became seriously ill, and one person died from salmonella. Even though Trevor’s conduct was legal, was it unethical for him to sell goods that had once tested positive for salmonella? If Trevor had followed the six basic guidelines for making ethical business decisions, would he still have sold the contaminated goods? Why or why not? The issue in this case problem is whether Trevor’s actions were unethical. In my opinion it was unethical for Jason Trevor to sell goods that had once tested positive for salmonella. Salmonella is a bacterium that can cause many illnesses. Two basic ethical approaches can be applied to this case. Firstly, Trevor should’ve thought about his customers from the religious position. He could’ve foreseen that products positive tested on salmonella would harm people inevitably. Secondly, he had to consider the outcome of this sale. He didn’t think about the consequences that can follow. He acted negligent by letting his employees ship the products to the retailers. If Trevor followed the six basic guidelines for making ethical business decisions he would not have sold the contaminated goods to the public. Having five people seriously ill and one person died because of the contaminated products harms the name of the brand associated with this incident. Thus, company loses its customers and, as a result, part of the revenues. I think Trevor also should feel guilty about what happened to those people meaning that on the Conscience step, which is the 4th guideline, he would’ve reconsidered his actions and probably changed his mind. I guess he would’ve not been happy to be interviewed about the actions he was about to take. And the next step, which is Promises to his customers, would’ve made him doubt his decisions because of the trust of the customers that he held in his hands. And I am sure Trevor’s hero would not have acted the way that can harm people. Thus, Trevor would not have sold the contaminated goods had he followed the basic guidelines for making ethical business decisions. Brody v. Transitional Hospitals Corporation United States Court of Appeals, Ninth Circuit, 280 F. 3d 997 (9th Cir. 2002). http://caselaw. findlaw. com/us-9th-circuit/1019105. html FACTS Jules Brody and Joyce T. Crawford filed a class action complaint against Transitional Hospitals Corporation (THC) and its officers on August 28, 1997 accusing THC of unlawful insider trading after THC bought 800,000 shares of its stock between February 26 and February 28 without first disclosing that Vencor and other parties had expressed interest in THC. In addition, Brody and Crawford claimed that THC, in its March 19 and April 24 press releases, materially misled them about THC’s intention to sell the company. The district court granted the defendant’s motion to dismiss the claims. The plaintiffs appealed to the US Court of Appeal, Ninth Circuit. ISSUE Are Brody and Crawford the proper plaintiffs to sue THC for damages for violation of the statute and rule? regarding the insider trading? DECISION No. US Court of Appeal, Ninth circuit, affirmed the district court’s decision to dismiss Brody and Crawford’s complaint for failure to state a claim upon which relief can be granted. REASON The Court noted that plaintiffs did not meet a contemporaneous trading requirement, a judicially-created standing requirement, which specified in Section 14(e) and Rule 14e-3 that the plaintiffs must have traded in a company’s stock at about the same time as the alleged insider. In addition, the Court decided that the plaintiffs’ complaint must specify the reason or reasons why the statements made by THC in its press releases were misleading. Brody and Crawford argued that in order for statement not to be misleading, â€Å"once disclosure is made, there is a duty to make it complete and accurate†, for which the Court found no support in the case law. The case law? only prohibits misleading and untrue statements, not statements that are incomplete. FOOTNOTES: ? Sections 10(b), 14(e), and 20(a) of the Exchange Act, 15 U. S. C.  §Ã‚ § 78j (b), 78n (e), and 78t (a), and Rules 10b-5 and 14e 3, 17 C. F. R.  §Ã‚ § 240. 10b-5 and 240. 14e-3, promulgated thereunder by the Securities Exchange Commission (â€Å"SEC†) ? Rule 10b-5 and Section 14(e) Full case: BRODY v. TRANSITIONAL HOSPITALS CORPORATION Jules BRODY; Joyce T. Crawford, Plaintiffs-Appellants, v. TRANSITIONAL HOSPITALS CORPORATION; Wendy L. Simpson; Richard L. Conte, Defendants-Appellees. No.? 99-15672. Argued and Submitted July 11, 2001. — February 07, 2002 Before: HALL, WARDLAW and BERZON, Circuit Judges. Jeffrey S. Abraham, New York, NY, for the plaintiffs-appellants. Mark R. McDonald, Morrison Foerster, Los Angeles, CA, for the defendants-appellees. In this case we address several securities fraud issues, centering on whether a plaintiff must have traded at about the same time as the insider it allege violated securities laws. ? Jules Brody and Joyce T. Crawford brought suit against Transitional Hospital Corporation (â€Å"THC† or â€Å"the company†) and its officers claiming violations of the Securities and Exchange Act of 1934 (â€Å"Exchange Act†) and state law because the defendants both traded in reliance on inside information and released misleading public information. ? The district court granted the defendant’s motion to dismiss for failure to state a claim. Brody and Crawford now appeal the district court’s order on several grounds. BACKGROUND In determining whether the complaint states a claim upon which relief could be granted, we assume the facts alleged in the complaint to be true. ?Ronconi v. Larkin, 253 F. 3d 423, 427 (9th Cir. 2001). ? The facts alleged in the complaint are as f ollows: THC was a Nevada corporation that delivered long-term acute care services through hospitals and satellite facilities across the United States. ? In August 1996, the company announced its plan to buy back from time to time on the open market up to $25 million in company stock. Two months later, THC expanded the repurchase plan to $75 million. On February 24, 1997, Vencor, Inc. submitted to THC’s board of directors a written offer to acquire the company for $11. 50 per share. ? THC did not disclose this offer publicly. ? Between February 26 and February 28, THC purchased 800,000 shares of its own stock at an average price of $9. 25 per share. ? This $7. 4 million buy-back was in addition to another $21. 1 million that THC had spent purchasing its stock in the three month period that ended on February 28, 1997. The plaintiffs do not allege that the total repurchase exceeded $75 million. THC issued a press release on March 19, 1997, detailing the progress and extent of it s stock repurchase program. ? The press release did not mention Vencor or any other party’s interest in acquiring THC. The plaintiffs argue that because of this omission, the March press release was misleading. On April 1, 1997, Vencor increased its offer to purchase THC to $13 per share. ? In the next few weeks, THC also received offers from two other competing bidders. ? On April 24, after receiving all hree offers, THC issued another press release, stating that the company had â€Å"received expressions of interest from certain parties who have indicated an interest in acquiring† it. ? The same document also stated that THC had hired â€Å"financial advisers to advise the company in connection with a possible sale. † ? The plaintiffs argue that this press release was also misleading; because it did not state that substantial due diligence had already taken place, that THC had received competing offers exceeding $13 per share, or that a THC board meeting would take place two days later to consider these offers. At the board meeting, the THC board voted to negotiate a merger agreement with Select Medical Corporation (â€Å"Select†). ? On May 4, THC publicly announced that it and Select had entered into a definitive merger agreement and that Select would purchase THC at $14. 55 per share. ? Vencor thereupon threatened a hostile takeover. ? To fend off that maneuver, THC ultimately agreed, on June 12, to a takeover by Vencor rather than Select, at $16 per share. Brody and Crawford sold shares at times that sandwich the April 24 press release. ? Two days before that press release was issued, Crawford sold 500 shares at $8. 75 per share. ? Brody sold 3,000 shares of THC stock at $10. 50 per share on April 24, just after the press release was made public. ? The plaintiffs argue that had they not been misled by THC, they would have held onto their shares, and benefitted from their subsequent increase in value. Brody and Crawford filed a class action complaint against THC and its officers on August 28, 1997. ? In addition to alleging violations of Nevada state law, Brody and Crawford alleged violations of Sections 10(b), 14(e), and 20(a) of the Exchange Act, 15 U. S. C.  §Ã‚ §? 78j(b), 78n(e), and 78t(a), and Rules 10b-5 and 14e 3, 17 C. F. R.  §Ã‚ §? 240. 10b-5 and 240. 14e-3, promulgated thereunder by the Securities Exchange Commission (â€Å"SEC†). ? These claims focus on two aspects of THC’s course of action: Brody and Crawford accuse the company of illegal insider trading because THC repurchased 800,000 shares of its stock between February 26 and February 28 without first disclosing that Vencor and other parties had expressed interest in THC. In addition, Brody and Crawford claim that THC, in its March 19 and April 24 press releases, materially misled them about THC’s progress toward its eventual merger. The district court dismissed all of Brody and Crawford’s claims. ? In so doing, the district court held that Brody and Crawford are not proper parties to assert any insider trading claims, as Brody and Crawford did not trade contemporaneously with THC. In addition, the district court decided that the plaintiffs failed to state a claim under Rule 10b-5 or any other law based on materially misleading information, as the press releases were not misleading under the applicable standards. The plaintiffs appeal these aspects of the district court’s dismissal. We review de novo the district court’s dismissal for failure to state a claim pursuant to Federal Rule of Procedure Rule 12(b)(6). ?Zimmerman v. City of Oakland, 255 F. 3d 734, 737 (9th Cir. 2001). DISCUSSION A.? Insider Trading As they pertain to insider trading, Section 10(b), Rule 10b-5, Section 14(e) and Rule 14e-3 make it illegal in some circumstances for those possessing inside information about a company to trade in that company’s securities unless they first disclose the information. See, e. g. , United States v. Smith, 155 F. 3d 1051, 1063-64 (9th Cir. 998). ? This type of prohibition is known as an â€Å"abstain or disclose† rule, because it requires insiders either to abstain from trading or to disclose the inside information that they possess. The district court dismissed the insider trading claims, holding that the named plaintiffs could not assert them because they did not trade contemporaneously with THC. On appeal, Brody and Crawford argue that nothing in the applicable securities laws requires investors to have traded contemporaneously with insiders in order to maintain a suit for insider trading. In addition, they argue that even if such a requirement exists, they in fact did trade contemporaneously with THC. 1.? Section 10(b) and Rule 10b-5 Neither section 10(b)1 nor Rule 10b-52 contain an express right of action for private parties. ? The Supreme Court has h eld, however, that proper plaintiffs may sue for damages for violation of the statute and rule. ? See Superintendent of Ins. v. Bankers Life and Cas. Co. , 404 U. S. 6, 13 n. 9, 92 S. Ct. 165, 30 L. Ed. 2d 128 (1971). Because neither the statute nor the rule contains an express right of action, they also do not delineate who is a proper plaintiff. ? In the absence of explicit Congressional guidance, courts have developed various â€Å"standing† limitations, primarily on policy bases. 3 For example, in Blue Chip Stamps v. Manor Drug Stores, 421 U. S. 723, 95 S. Ct. 1917, 44 L. Ed. 2d 539 (1975), the Supreme Court held that to bring an insider trading claim under Rule 10b-5, a plaintiff must have traded in the same stock or other securities as the insider trader. The contemporaneous trading requirement, at issue in this case, is another judicially-created standing requirement, specifying that to bring an insider trading claim, the plaintiff must have traded in a company’ s stock at about the same time as the alleged insider. ?In Neubronner v. Milken, 6 F. 3d 666, 669 (9th Cir. 1993), the Ninth Circuit adopted a contemporaneous trading requirement for Section 10(b) and Rule 10b-5 actions. ? See also In re Worlds of Wonder Sec. Litig. , 35 F. 3d 1407, 1427 (9th Cir. 1994). Neubronner explained that two reasons animate this rule: First, â€Å"noncontemporaneous traders do not require the protection of the ‘disclose or abstain’ rule because they do not suffer the disadvantage of trading with someone who has superior access to information. † ? 6 F. 3d at 669-70 (quoting Wilson v. Comtech Telecommunications Corp. , 648 F. 2d 88, 94 95 (2d Cir. 1981)). ? Second, the contemporaneous trading requirement puts reasonable limits on Section 10(b) and Rule 10b-5’s reach; without such a limitation, an insider defendant could be liable to a very large number of parties. Id. at 670. Brody and Crawford offer two reasons why the contemporane ous trading rule adopted in Neubronner should not here apply. ? First, they argue that the rule does not make sense, as a matter of statutory interpretation. ? In other words, they request that we declare that Neubronner’s interpretation of Section 10(b) and Rule 10b-5 was incorrect. ? Although the decision in Neubronner is not beyond debate, we do not consider the question further, as a Ninth Circuit panel may not overrule a prior Ninth Circuit decision. ?Hart v. Massanari, 266 F. 3d 1155, 1171 (9th Cir. 2001). Brody and Crawford attempt to avoid this precedential barrier by claiming that Neubronner’s implementation of the contemporaneous rule was dictum, and therefore not binding on us. ? It was not. ?Neubronner explicitly described its ruling regarding the contemporaneous trading requirement as a â€Å"holding. † ? 6 F. 3d at 670. ? In addition, the determination was a necessary predicate for the case’s ultimate conclusion that contemporaneous trading must be pleaded with particularity. ? Id. at 673. Brody and Crawford’s second submission in avoidance of Neubronner is that United States v. O’Hagan, 521 U. S. 642, 117 S. Ct. 2199, 138 L. Ed. 2d 724 (1997), overruled Neubronner. ? That assertion is simply wrong. ? O’Hagan, which was a criminal case, addressed neither the contemporaneous trading requirement in private actions nor any other standing rule. ? Instead, by approving of an expansive concept of who qualifies as an insider under Section 10(b), the Supreme Court in O’Hagan clarified that more defendants may be liable under Section 10(b) than some courts have previously thought. ? Id. at 650, 117 S. Ct. 2199. ? In so doing, the Supreme Court did not alter pre-existing notions concerning whom insiders harm when they trade based on privileged information. Brody and Crawford next argue that even if the Section 10(b) and Rule 10b-5 contemporaneous trading requirements remain, the court should define contemporaneous trades as trades that take place within six months of one another. ? Under this definition, Brody and Crawford would have standing, as they sold their stock just under two months after they allege THC bought the large block of stock in February. [3]? In Neubronner, this court did not decide the length of the contemporaneous trading period for insider trading violations under Section 10(b) and Rule 10b-5, 6 F. d at 670, nor has this court decided the question since. ? Because the two-month time period presented by the facts of this case exceeds any possible delineation of a contemporaneous trading period, it is not necessary in this case either to define the exact contours of the period. ? We simply note that a contemporaneous trading period of two months would gut the contemporaneous trading rule’s premise-that there is a need to filter out plaintiffs who could not possibly have traded with the insider, given the manner in which public trades are transacted. 2.? Section 14(e) and Rule 14e-3 Brody and Crawford also argue that the district court erred in dismissing their claims under Section 14(e)4 and Rule 14e-35 by holding that insider trading actions brought under Section 14(e) and Rule 14e-3 must also conform to a contemporaneous trading requirement. ? In making this argument, the plaintiffs urge that we hold for them on two matters of first impression: (1) whether a private right of action exists under Rule 14e-3; and (2) if a private right of action does exist, whether it contains a contemporaneous standing requirement. We can assume, without deciding, that a private right of action exists under Rule 14e-3, for we see no reason why the same contemporaneous trading rule that applies under Rule 10b-5 would not apply in such an action. ?As noted, this court has definitively adopted a contemporaneous trading requirement under Rule 10b-5. ? Although Rule 14e-3 differs in some respects from Rule 10b-5, (and was adopted in order to plug some ho les the SEC perceived in Rule 10b-5),6 its core, like the core of Rule 10b-5, is an â€Å"abstain or disclose† requirement. And, as is true of the â€Å"abstain or disclose† requirement of Rule 10b-5, the similar requirement of Rule 14e-3 is designed to prevent the disadvantage that inheres in trading with an insider with superior access to information. ?45 Fed. Reg. 60411-12 (1980). ? So we would have to have some excellent reason to adopt a different standing rule under Rule 14e 3 from the one we use under Rule 10b-5. ? We are convinced that there is no basis for drawing such a distinction. The best candidate appellants have advanced as a basis for differentiating the standing requirement under the two Rules is Plaine v. McCabe, 797 F. d 713 (9th Cir. 1986). ?Plaine held that a plaintiff suing under Section 14(e) need not have traded at all, let alone contemporaneously. ? Id. at 718. The fulcrum of Plaine was a distinction suggested by Piper v. Chris-Craft Indus. , I nc. , 430 U. S. 1, 38-39, 97 S. Ct. 926, 51 L. Ed. 2d 124 (1977), between the types of shareholder protections contained in Sections 10(b) and 14(e): Piper noted that while Section 10(b) was enacted to protect only individuals who actually traded in stocks, Section 14(e) can be understood as protecting not only those who buy or sell stocks but also shareholders who decide not to trade. 430 U. S. at 38-39, 97 S. Ct. 926. ? Because Rule 14e-3 was promulgated under Section 14(e), the argument that a plaintiff who alleges insider trading under Section 14(e) or Rule 14e-3 need not worry about the contemporaneous trading requirement-because he need not have traded at all-has some initial plausibility. On a closer examination, however, Plaine does not speak to the issue at hand. Rather, Plaine focused only on non-insider trading claims brought under Section 14(e), and did not consider the standing requirements for an insider trading claim brought under Rule 14e-3. Section 14(e) broadly pro hibits â€Å"fraudulent, deceptive, or manipulative acts or practices, in connection with any tender offer;† it does not contain any specific reference to insider trading. ? Rule 14e-3, on the other hand, focuses on one type of behavior, insider trading, whose prohibition is thought to prevent fraudulent, deceptive, or manipulative acts. ? See O’Hagan, 521 U. S. at 672-73, 117 S. Ct. 2199. ? In accordance with its specific, prophylactic focus, Rule 14e-3 applies to a different set of behaviors than does Section 14(e): Section 14(e) centers on the actual tender offer, whereas Rule 14e-3 regulates illegal insider trading that takes place while a tender offer is under consideration. ? As appellants’ brief states, â€Å"[a]ll the elements of a Section 14(e)/Rule 14e-3 insider trading violation are supplied by the language of Rule 14e-3. A comparison of the facts in Plaine with the facts in this case illustrates the difference between the Section 14(e) claim conside red in Plaine and the Rule 14e-3 claim considered here. ? Plaine held shares in a company subject to a tender offer. ? She complained that false information in proxy materials had induced other shareholders to tender their shares. ? Because so many other shareholders tendered their shares, the merger went through at a price Plaine viewed as inadequate. Although Plaine did not tender her shares, the court ruled that she alleged injury occurring as a result of fraudulent activity in connection with a tender offer and had standing to assert her claim. ?797 F. 2d at 717. ? Plaine did not, however, allege insider trading, and therefore could not have made out a claim under Rule 14e-3. Brody and Crawford, on the other hand, did allege insider trading but did not allege that THC manipulated the tender offer process through the use of false information or by any other means. ? As such, the facts in the current case present a very different situation than that presented in Plaine. The circum stances do, however, bear a much closer resemblance to those in Neubronner, a Rule 10b-5 case centering around accusations of insider trading in violation of an abstain-or-disclose requirement. ? See Neubronner, 6 F. 3d at 667. Despite the similarities of the issues here and in Neubronner and between Rules 10b-5 and 14e-3, as applied to insider trading allegations, Brody and Crawford emphasize the differences between the Rules. ? Unlike Rule 10b-5, Rule 14e-3 does not require proof that a person traded on information obtained in violation of a duty owed to the source of the inside information. Instead, Rule 14e-3(a) creates a duty for a person with inside information to abstain or disclose â€Å"without regard to whether the trader owes a pre-existing fiduciary duty to respect the confidentiality of the information. † ? O’Hagan, 521 U. S. at 669, 117 S. Ct. 2199 (quoting United States v. Chestman, 947 F. 2d 551, 557 (2d Cir. 1991) (en banc)). ? Although Rule 14e-3 thus expands the notion of who is an insider, it does not follow that the Rule also expands the class of shareholders who may complain when an insider trades without disclosing insider information. As a result, the fact that Rule 10b-5 and Rule 14e-3 are not identical does not lead to the conclusion that one has a contemporaneous trading requirement and the other does not. More importantly, perhaps, in this case, the allegation is that THC traded in its own stock on the basis of inside information. ? Such allegations would state a â€Å"†¦Ã¢â‚¬Ëœtraditional’ or ‘classical’ theory of insider trading liability [under] Rule 10b-5 based on ‘a relationship of trust and confidence between the shareholders of a corporation and those insiders who have obtained information by reason of their position with that corporation. †¦Ã¢â‚¬  ? O’Hagan, 521 U. S. at 651-652, 117 S. Ct. 2199 (quoting Chiarella, 445 U. S. at 228, 100 S. Ct. 1108). ? As such, this case is one that could be-and indeed, was-brought under both Rule 10b-5 and Rule 14e-3, and as to which any differences between the two rules regarding the necessary relationship between the insider and the source of information is not relevant. Brody and Crawford note another reason that, they argue, suggests an expansive reading of Rule 14e-3 is appropriate. In O’Hagan, the Supreme Court ruled that the SEC is permitted to promulgate rules under Section 14(e), such as Rule 14e-3, that prohibit acts not themselves fraudulent under the common law if the rules are reasonably designed to prevent acts that are. ?521 U. S. at 671-73, 117 S. Ct. 2199. ? This authority derives from the prophylactic rule-making power granted to the SEC by Section 14(e), a power that has no parallel in Section 10(b). ?Id. That the SEC had more power to protect investors when it promulgated Rule 14e-3 than it did when it promulgated Rule 10b-5 does not mean, however, that the SEC exercised that power so as to protect noncontemporaneous traders under Rule 14e-3. ? And, in fact, what evidence there is demonstrates that the SEC did not intend to protect investors who could not have possibly traded with the insiders. In O’Hagan, the Supreme Court quoted at length from and afforded deference to the SEC’s explanation of why it promulgated Rule 14e-3. Part of the Federal Register excerpt quoted in O’Hagan stated: The Commission has previously expressed and continues to have serious concerns about trading by persons in possession of material, nonpublic information relating to a tender offer. ? This practice results in unfair disparities in market information and market disruption. ? Security holders who purchase from or sell to such persons are effectively denied the benefits of disclosure and the substantive protections of the [legislation that includes Section 14(e)]. 21 U. S. at 674, 117 S. Ct. 2199 (quoting 45 Fed. Reg. 60412 (1980)). This quotation evinces a particular concern for those who â€Å"purchase from or sell to† insiders, and suggests that these shareholders, and not others who trade later, are the intended beneficiaries of Rule 14e-3. ? The contemporaneous trading requirement, designed to limit the class of potential plaintiffs to only those who could have possibly traded with the insider, is therefore precisely congruent with the SEC’s expressed purpose in promulgating Rule 14e-3. In sum, Rule 10b-5 and Rule 14e-3 contain similar insider trading prohibitions, triggered by similar concerns. ? While Rule 14e-3 focuses on the tender offer context, the background history and language of Rule 14e-3 indicate that the Rule does not alter the premise that a shareholder must have traded with an insider or have traded at about the same time as an insider to be harmed by the insider’s trading. ? We conclude that there is no principled distinction between Rules 10b-5 and 14e-3 as regards the need for a contemporaneous trading allegation. We therefore extend the contemporaneous trading requirement to insider trading actions brought under Section 14(e) and Rule 14e-3 actions. ? Because Brody and Crawford traded nearly two months after they allege THC traded, they did not trade contemporaneously with THC. The district court was correct in dismissing their Rule 14e-3 insider trading claims. B.? Misrepresentation We next consider a different set of concerns addressed by the securities laws: Rule 10b-5 and Section 14(e)’s explicit prohibition against the making of untrue or misleading statements. The plaintiffs do not maintain that either press release issued by THC was untrue. ? They do argue, though, that THC violated the prohibitions against making misleading statements when it issued the two press releases here at issue. ? In order to survive a motion to dismiss under the heightened pleading standards of the Private Securities Litigation Reform Act (â€Å"PSLRA†), the plaintiffs’ complaint must spe cify the reason or reasons why the statements made by THC were misleading. ?15 U. S. C.  §? 78u-4(b) (1); see also Ronconi, 253 F. 3d at 429. As an initial matter, Brody and Crawford correctly assert that a statement that is literally true can be misleading and thus actionable under the securities laws. ? See In re GlenFed Sec. Litig. , 42 F. 3d 1541, 1551 (9th Cir. 1994). ? But they err when they argue that in order for a statement not to be misleading, â€Å"once a disclosure is made, there is a duty to make it complete and accurate. † This proposition has no support in the case law. ?Rule 10b-5 and Section 14(e) in terms prohibit only misleading and untrue statements, not statements that are incomplete. Similarly, the primary case upon which Brody and Crawford rely for their innovative completeness rule supports only a rule requiring that parties not mislead. ? Virginia Bankshares, Inc. v. Sandberg, 501 U. S. 1083, 1098 n. 7, 111 S. Ct. 2749, 115 L. Ed. 2d 929 (1991). ? Often, a statement will not mislead even if it is incomplete or does not include all relevant facts. 8 ? Further, a completeness rule such as Brody and Crawford suggest could implicate nearly all public statements potentially affecting securities sales or tender offers. No matter how detailed and accurate disclosure statements are, there are likely to be additional details that could have been disclosed but were not. ? To be actionable under the securities laws, an omission must be misleading; in other words it must affirmatively create an impression of a state of affairs that differs in a material way from the one that actually exists. ? See McCormick v. The Fund American Cos. , 26 F. 3d 869, 880 (9th Cir. 1994). We conclude that neither Rule 10b-5 nor Section 14(e) contains a freestanding completeness requirement; the requirement is that any public statements companies make that could affect security sales or tender offers not be misleading or untrue. ? Thus, in order to survive a motion to dismiss under the heightened pleading standards of the Private Securities Litigation Reform Act (â€Å"PSLRA†), the plaintiffs’ complaint must specify the reason or reasons why the statements made by THC were misleading or untrue, not simply why the statements were incomplete. 15 U. S. C.  §? 78u-4(b) (1); see also Ronconi, 253 F. 3d at 429. ?Brody and Crawford’s allegations do not comport with this requirement. ? They allege, first, that the press release issued on March 19 was misleading because it provided information about THC’s stock repurchase program but did not contain information regarding THC’s possible takeover. ? Although Brody and Crawford specify what inf ormation THC omitted, they do not indicate why the statement THC made was misleading. ? If the press elease had affirmatively intimated that no merger was imminent, it may well have been misleading. ? The actual press release, however, neither stated nor implied anything regarding a merger. ?Brody and Crawford also claim that THC’s second press release, issued on April 24, was misleading. ? Again, the plaintiffs do not argue that the press release was untrue. ? Instead, they argue that it was misleading because it stated generally that THC had received â€Å"expressions of interest† from potential acquirers, when in fact it had received actual proposals from three different parties. Importantly, the complaint does not provide an explanation as to why this general statement was misleading, nor is it self-evident that it was. A proposal is certainly an â€Å"expression of interest. † ? Moreover, the press release did not simply state that there had been vague â₠¬Å"expressions of interest;† it went on to state that the â€Å"expressions† were â€Å"from certain parties who have indicated an interest in acquiring either the entire company or in acquiring the company, with the company’s shareholders retaining their pro rata interests in Behavioral Healthcare Corporation [a THC subsidiary]. ? This specificity concerning the nature of the parties’ proposals certainly suggests that something more than preliminary inquiries had taken place. Further, the press release additionally stated that the â€Å"Board of Directors has engaged financial advisors to advise the company in connection with a possible sale. † ? This additional information again suggested proposals that were concrete enough to be taken seriously. ? And the reference to multiple parties contained in the press release suggests an ongoing auction for THC was taking place with at least two participants. In short, the press release did not give the impression that THC had not received actual proposals from three parties or otherwise mislead readers about the stage of the negotiations. ? Instead, although the press release did not provide all the information that THC possessed about its possible sale, the information THC did provide-and the reasonable inferences one could draw from that information-were entirely consistent with the more detailed explanation of the merger process that Brody and Crawford argue the press release should have included. Put another way, Brody, if he read the press release, would have been on notice, before he sold his shares, of the distinct possibility that the value of the shares would increase in the near future because of a takeover contest. 9 [11] Because Brody and Crawford have not alleged facts indicating that THC’s April 24 press release was misleading, the district court properly dismissed that aspect of the plaintiffs’ complaint. CON CLUSION Brody and Crawford have not met the contemporaneous trading requirements necessary to have standing in the insider trading claims they assert. Additionally, they have failed properly to allege misrepresentation against THC. As a result, we affirm the district court’s decision to dismiss Brody and Crawford’s complaint for failure to state a claim upon which relief could be granted. AFFIRMED FOOTNOTES 1. ?Section 10, in relevant part, states: It shall be unlawful for any person, directly or indirectly, by the use of any means or instrumentality of interstate commerce or of the mails, or of any facility of any national securities exchange-?..... b)? To use or employ, in connection with the purchase or sale of any security registered on a national securities exchange or any security not so registered, or any securities-based swap agreement (as defined in section 206B of the Gramm-Leach-Bliley Act), any manipulative or deceptive device or contrivance in contraventio n of such rules and regulations as the Commission may prescribe as necessary or appropriate in the public interest or for the protection of investors. 2. Rule 10b-5 states: It shall be unlawful for any person, directly or indirectly, by the use of any means or instrumentality of interstate commerce, or of the mails or of any facility of any national securities exchange,(a)? To employ any device, scheme, or artifice to defraud,(b)? To make any untrue statement of a material fact or to omit to state a material fact necessary in order to make the statements made, in the light of the circumstances under which they were made, not misleading, or(c)? To engage in any act, practice, or course of business which operates or would operate as a fraud or deceit upon any person, in connection with the purchase or sale of any security. 3. ?These â€Å"standing† limitations are not, of course of the constitutional variety, grounded in Article III of the Constitution, but simply delineate the scope of the implied cause of action. 4. ?Section 14(e) states: It shall be unlawful for any person to make any untrue statement of a material fact or omit to tate any material fact necessary in order to make the statements made, in the light of the circumstances under which they are made, not misleading, or to engage in any fraudulent, deceptive, or manipulative acts or practices, in connection with any tender offer or request or invitation for tenders, or any solicitation of security holders in opposition to or in favor of any such offer, request, or invitation. ? The Commission shall, for the purposes of this subsection, by rules and regulat ions define, and prescribe means reasonably designed to prevent, such acts and practices as are fraudulent, deceptive, or manipulative. . ?Rule 14e-3(a) states:(a)? If any person has taken a substantial step or steps to commence, or has commenced, a tender offer (the â€Å"offering person†), it shall constitute a fraudulent, deceptive or manipulative act or practice within the meaning of section 14(e) of the Act for any other person who is in possession of material information relating to such tender offer which information he knows or has reason to know is nonpublic and which he knows or has reason to know has been acquired directly or indirectly from:(1)? The offering person,(2)? The issuer of the securities sought or to be sought by such tender offer, or(3)? Any officer, director, partner or employee or any other person acting on behalf of the offering person or such issuer, to purchase or sell or cause to be purchased or sold any of such securities or any securities convertible into or exchangeable for any such securities or any option or right to obtain or to dispose of any of the foregoing securities, unless within a reasonable time prior to any purchase or sale such information and its source are publicly disclosed by press release or otherwise. 6. ?Chiarella v. United States, 445 U. S. 222, 100 S. Ct. 1108, 63 L. Ed. d 348 (1980), considered, but did not decide, the viability of a misappropriation theory of liability under Rule 10b-5. ?445 U. S. at 235-37, 100 S. Ct. 1108. ?(A misappropriation theory extends liability to some parties who trade in a company’s securities on the basis of confidential information but who have no special relationship with the company’s shareholders. ) Following Chiarella, the SEC promulgate d Rule 14e-3, which clearly creates liability for insiders who trade in connection with a tender offer and do not disclose the inside information, regardless of their relationship to the shareholders or the source of the information. Then in 1997, the Supreme Court decided O’Hagan, answering the question left open by Chiarella and deciding that Section 10(b) and Rule 10b-5 do create liability under a misappropriation theory. ?521 U. S. at 650, 117 S. Ct. 2199. ? The upshot is that Rules 10b-5 and 14e-3 largely overlap with regard to the scope of insider trader liability, although they differ in some respects not here pertinent. ? See p. 1004, infra. 7. As we discuss below, in O’Hagan the Supreme Court approved Rule 14e-3 as a prophylactic rule designed to prevent core violations of Section 14(e). ? See p. 1004, infra. 8. ?For example, if a company reports that its sales have risen from one year to the next, that statement is not misleading even though it does not inclu de a detailed breakdown of the company’s region by region or month by month sales. 9. ?We note that Crawford sold his shares before the April 24 press release, so he could not have been influenced in his trading by the release. BERZON, Circuit Judge.

Wednesday, August 28, 2019

Leibniz and the Baroque Essay Example | Topics and Well Written Essays - 2000 words

Leibniz and the Baroque - Essay Example Deleuze finds the existence of soul in body; however, since there is no way for the exiting of the same, he justifies the statements made by his predecessor philosophers’ opinions regarding the place of the soul in upper dark chamber of the body, diversified by folds, i.e. the mind. Deleuze also cites Focillon, where he submits to state that the latter viewed Baroque Gothic as the birth of the mystical experience, which is actually the long voyage of the soul within various parts of the vast and endless universe. Hence, body remains confined to one specific zone or area, where it is actually present, while soul seeks no limits and boundaries for travelling and can reach everywhere it wants to move. On the contrary, body remains silent to some extent, and requires permissions and efforts in order to change its place. Deleuze declares Leibniz as the first philosopher to define and elucidate the mystical and mathematical dimensions in his work. He also states that the world is ma de up of monads and divergent series, which can be compared to the folds. Consequently, it can be examined by keeping in view the infinity of pleats and creases of unified and dispersed matter. Deleuze has also discussed plastic forces in an analytical manner by presenting the examples of organism or living matter, where artificial is always inferior to the real one. It is because of the very fact that plastic cannot perform altogether in such a way as the living matter, though it is more machinelike than mechanical. (Deleuze, 8) He further explains Leibniz’s folding and unfolding theory, which defines the organism’s ability to fold and unfold its parts to a degree of assignment or the scale of capacity attributed to each and every species at large. Hume’s Views on Religion Norton (1993) has critically evaluated Hume’s views on faith and religion in his works. Hume has provided his in-depth views on God, morality, natural belief and others in his Natural History of Religion (1757). He appears to be criticizing the blind imitation of the religious systems, and seeks for the philosophical interpretation of the Scriptures and belief system, so that religious dogmatism could be revealed in its true sense. His severe disparagement of conventional religious practices not only invited the wrath of the Catholic Church, but also caused controversial debate about his actual opinion on following the real Christian teachings. Consequently, he was blamed to be an atheist as well as the rebel of Christian faith. It is therefore Norton finds

Tuesday, August 27, 2019

Accounting for Decision Making Essay Example | Topics and Well Written Essays - 1250 words - 1

Accounting for Decision Making - Essay Example Break-even level of sales = Break-even units*Selling Price (Keiso, 1999) = 148148.15*170 = $25,185,185 Strategy #2 Fixed Cost = $25,000,000 Selling Price = $200 Variable Cost = $35 Break-even level of output = = = 151,515 units Break-even level of sales = Break-even units*Selling Price = 151515.15*200 = $30,303,030 Desired Target of Profitability The company's desired profitability target is $4 million. According to the break-even level of sales, the company must exceed the above revenue levels according to both strategies in order to be able to make profits. If the output levels, as given in the table, are taken into consideration for calculation of optimal revenue which exceeds breakeven and offers the firm with its target profitability level, the following table would provide the relevant answers to base our analysis with. Strategy 1 Â   Selling Price = $170 Estimated demand (units) Estimated Revenue ($) Profit ($) 150,000 $25,500,000 $314,815 180,000 $30,600,000 $5,414,815 200,0 00 $34,000,000 $8,814,815 Hence, if the company undertakes strategy 1, as can be seen in the table above, output levels of above 180,000 units would allow the firm to fulfill and exceed its target profitability level. This range of output also fulfills the break-even level of output therefore the firm is satisfying its desired profitability level. (Keiso, 1999) ... This level of output also has the highest probability of consumer demand levels hence the firm will benefit from undertaking this level of production and fulfilling its profitability targets. (Keiso, 1999) Margin of Safety Margin of Safety: Budgeted/Actual Sales - Breakeven Sales (Keiso, 1999) Margin of Safety (%) : MOS/(Budgeted/Actual Sales) (Keiso, 1999) Strategy 1 Â   Â   Estimated demand (units) Breakeven Sales (units) Margin of Safety (units) Margin of Safety (%) 150,000 148,148.15 1,852 1.23% 180,000 148,148.15 31,852 17.70% 200,000 148,148.15 51,852 25.93% Strategy 2 Â   Â   Estimated demand (units) Breakeven Sales (units) Margin of Safety (units) Margin of Safety (%) 150,000 151515.15 -1,515 -1.01% 180,000 151515.15 28,485 15.82% 200,000 151515.15 48,485 24.24% As stated above, the margin of safety can be expressed in either units or a percentage of the total estimated sales. These figures are important for key decision making for managers because it shows the extent by which the projected sales exceed the break-even sales. The margin of safety is an important measure of risk as it shows the amount of sales which a firm can afford to vary without incurring a loss. The higher the number, the more beneficial it is for the firm since the company would be able to withstand fluctuations in sales. A drop in the levels of sales, lower than the margin of safety would alarm the management since it would cause losses for that particular period for the firm. (Keiso, 1999) Decision The decision of whether the company should go ahead with the new product should include many other ratio and cash flow analysis and evaluations so that the management, even though they cannot avoid any risks, are able to come up with more suitable decisions. However, based

Monday, August 26, 2019

The Use of Imagery as a Literacy Device Essay Example | Topics and Well Written Essays - 750 words

The Use of Imagery as a Literacy Device - Essay Example The purpose of this paper is to analyze a single literary device depicted in Poe’s story. In as much as the story has a number of literary devices irony as imagery remains a dominant element of the work. It is quite ironical at the beginning of the story with a description of Roderick. Since he believes most of his family members are suffering from hyper reactivity he also believes to be suffering from the same disease. This is ironical as he concludes to be suffering from Hypochondriac according to family history. For instance, the narrator says, â€Å"I was forced to fall back upon the unsatisfactory conclusion, that while, beyond doubt, there are combinations of extremely simple natural objects which have the power of thus affecting us, still the analysis of this power lies among considerations beyond our depth.† (Poe 06) This was in support of the fact that he believed with no doubt the sickness was a family sickness. Consequently, the story reveals irony, which mak es the story fascinating as a disease, is only accorded one family. Despite Roderick and Madeline being a brother and a sister they are involved in an intimate relationship. For instance in the story, â€Å""Her decease," he said, with a bitterness which I can never forget, "would leave him (him the hopeless and the frail) the last of the ancient race of the Ushers." (Poe 16)This was a depiction of the relationship, which existed between the two, who were from a family of the ushers. It was, therefore, ironical for the two to engage in intimate relationship as this represented incest. This is evidenced in the book when he says,† And thus, as a closer and still closer intimacy admitted me more unreservedly into the recesses of his spirit,† In addition, a sulphureous lustle is displayed among the characters who perceive themselves as sister and brother. From this perspective, irony manifests itself clearly leaving readers wondering what type of characters the two were (Po e and Lanier 36). The house of usher is full of ironical happenings, for instance, Roderick buries her sister alive to fulfill his prophecy. According to his prophecy, the people suffering from hyperactive reactivity like his sister are supposed to get buried alive. This is ironical as to how one can bury another alive just because he feels she is sick. This is also ironical considering the incestuous relationship between Roderick and Madeline we expected him not only to show love to his sister as a lover, but also as someone passionate. It is expected when a person dies he does not resurrect; however, this is a common event in the story with Madeline resurrecting to meet his brother Roderick. This is an ironical representation of unnatural characters who portray a bizarre of menacing events. Distress and agitation fills the bizarre occurrence of events as Madeline struggles out of the vault full of her, own blood, this is a horrifying scene (Poe 56). Vampirism of the last part of t he story relays many messages to the readers who remain guessing what happened to the last duo of the family. In conclusion, irony becomes a major literary device used in the story dominating almost all the narration. The fall of the house of usher manifests a disappearance of the family, which mainly suffers from a disease, aroused hyper reactivity. Several instances depict irony staring with the intimate relation

Fundy & Chesapeake Assignment Example | Topics and Well Written Essays - 500 words

Fundy & Chesapeake - Assignment Example Other processes such as volcanicity afterward occurred. Volcanic activity led to the formation of volcanic mountains and flood basalts. These flood basalts poured out over the landscape, covering much of Southern Nova Scotia. Some sections of the flood basalts eroded (Harlow, 2006). The upper part of the Bay Fund splits into Chignecto Bay in the northeast and minas Basin in the east. Chignecto Bay additionally divided into Cumberland basin and shepody bay and the extreme eastern portion of Minas Basin (Cobequid bay). The upper reaches show that is exposed red bay sludge for which is bay noted. The minas channel connects the Minas Basin with main bay body. The channel is approximately 5, 6 kilometers across and approximately 106.7 meters. Therefore tides that flow through are very powerful. The lower bay part has four sub basins namely: Back Bay and Passamaquoddy Bay on New Brunswick shore, Annapolis Basin on the Nova Scotia shore and cobs cook Bay. The bay’s extreme tidal range causes the Saint John’s River to flow in a reversed direction at high tide causing a series of rapids at famous Reversing falls where the river empties into the bay in the gorge in the focal point of the city of Saint John. Rivers in the upper Bay of Fundy have a lesser flow rate than the Saint John, and a shallower slope. This causes widespread mud flats deposited all through the tidal range of rivers. In the tidal bore, wave front of water bores pushes up a river against its normal flow. The shallow and narrow estuaries around the upper bay produce bores on regular basis. The advancing tide is slowed by shallow waters consequently building up with a deep pour of advancing water. Contrary, Chesapeake Bay is located in a poor geographical location and therefore has no bores. The bay has lower tides because small tidal range unlike the Fundy bay. The Amazon River despite the fact that is the largest river in the entire world, its mouth is not narrow. The

Sunday, August 25, 2019

Film review for JAWS 1975 Coursework Example | Topics and Well Written Essays - 500 words

Film review for JAWS 1975 - Coursework Example However, eventually the things go out of hand, leading to many killings and mayhem, until the man-eating shark is killed by the police chief Brody. The movie is actually a gripping sequence of exciting and nerve wrecking scenes. One of the scenes in the movie that evokes intense excitement is the one in which the police chief Brody, a shark hunter Quint and the marine biologist Hooper try to hook the man-eater shark, when suddenly an enormous great white shark emerges from behind the boat, imbuing the audience with much anticipation and fear. The other memorable scene in the movie is the climax when the trio Quint, Brody and Hooper are shown struggling helplessly against the big shark. This scene keeps the viewers hooked with an unsettling anticipation and a risky aura of expectation, when eventually Brody saves the day by his presence of mind. There are many characters in the story that sustain and maintain the tension inherent in the storyline with their specific peculiarities and character traits. Not to mention, the most important character in the story is that of the police chief Brody (Roy Scheider), who with his inherent premonition of the impending doom, keeps the audience stuck to the edge of their seats. The other interesting character is that of the marine biologist Hooper (Richard Dreyfuss), who throughout the movie, tries to balance the surrounding atmosphere of anxiety and suspense by bringing in some scientific explanation pertaining to the dark force targeting the town. It goes without saying that the immense box office success of the Jaws could be attributed to its extraordinary ability to keep the plot tout and the action enervating by its mind boggling tension, above normal levels of horrid anticipation, deep and creepy suspense, a disturbing aura of anxiety, and an intimidating sense of anticipation (Nowell-Smith, 1997, p. 515). However, the one ethical weakness of the movie is that it projects the sharks as an animal in

Saturday, August 24, 2019

Impact of Teen Pregnancy on the Support System in the UK Coursework

Impact of Teen Pregnancy on the Support System in the UK - Coursework Example Babies born to teenagers are possible to have poor life outcomes. Most teenage mothers suffer physical, mental and emotional health conditions. All too frequently teenage parent families live in poverty (Field, 2011). There are various bodies that provide support to teenager mother in different ways. Some organizations offer that services support teenage mums to develop the skills and confidence they need to live independently. Mostly teenage mothers need support in areas such as budgeting, cooking, debt, benefits, self-esteem, confidence, assertiveness, and re-housing. Most support bodies are committed to giving them the opportunities in education, training, and employment. Â  Other organizations help these teenage mothers access other specialist services so that they get the full range of help to really make a difference for them, for their babies and for their families. One such body that provides support for teenage mothers is Action for Children's Gabriel Court which oversees the performance and ensures a multi-agency strategic approach to reducing levels of teenage pregnancies in the UK. Â  

Friday, August 23, 2019

Article review Essay Example | Topics and Well Written Essays - 750 words - 13

Article review - Essay Example For example, whereas prize vases from the 4th century are engraved with Athena Polias, while the headings of alliances and treaties done on marble were engraved with Athena Parthenos. Athena personifies Athens not as a goddess but as a symbol of the city’s power (Murray, 1890). However, the Parthenos was not only symbolic if the city was partaking in an act of peace, such as the Parthenos holding the acrostolion. Usually, the Parthenos as used to personify Athens was a likeness of Pheidas’ earlier creation, in which she is taking the hand of an allied state. The author considers the likeness of the Parthenos as found on an engraved gem in Cyprus created during the 4th century. She represents Athens, standing in an aegis and helmet, while she has a spear and shield to her left, as well as a serpent to her left (Murray, 1890). However, this particular Athena digresses from the usual Parthenos as created by Pheidas, as she holds an acrostolion in her right hand, rather than a victory figure, such as that on the stern of a naval ship. The acrostolion was known as being symbolic of a naval victory. While there were other symbols of naval victories, such as the bronze mast with three gold stars at the corner or at an angle, the author contends that, the Athena gem from Cyprus symbolized a naval victory because the acrostolion was a well-known emblem for the same purpose (Murray, 1890). The writer also uses the example of a silver coin from Cyprus that also showed the Athena Parthenos used as a symbol of naval victory. In this case, the Athena is quite similar to that from the earlier example but sits on a ship’s prow as she holds the acrostolion in her right hand (Murray, 1890). The coin, he argues, is commemorative of a battle victory for a town in Cyprus aided by Athens. As he stated earlier, this coin could have been used to symbolize an alliance with the town, thus the use of Athena Parthenos. He also argues against the

Thursday, August 22, 2019

A Walk in My Shoes Essay Example for Free

A Walk in My Shoes Essay My name is Jr. I hope you enjoy reading as I take you on a journey and a walk in my shoes. Join me as I walk you through my adolescent years up to adult hood. After reading you will be able to see how I developed socioemotionally and became who I am today and why I am the way I am. I will share some of my favorite memories along with some not so fond memories, which changed who I would become as a Father. I was born and raised on the south side of San Antonio, Texas. I am fourth generation Texan, The Sanchez family settled in Eagle Pass, Texas dating back to before Texas became a Republic in 1836. The south side of San Antonio is predominantly Hispanic. Plus I went to a predominantly all Hispanic Catholic School, mainly due to location. Growing up I had little to no interaction with any other races. I feel this gave my classmates and I a feeling of belonging. As I have learned since we all shared the same race, culture, and religion this also helps young people with identity formation. We not only embraced our Mexican heritage we also embraced our Texan heritage. I grew up learning both Spanish and English. Studies show that youths with a positive ethnic identity who also embrace the American culture have more positive outcomes (Umana-Taylor, 2006). My Family growing up was very close. It seemed we always had aunts and uncles living with us at some point in time. I did not mind as I was always looked after and they were excellent role models and provided emotional stability. I am the oldest of four and we are spaced about 4 years apart. My baby sister, the youngest of my siblings came to us when I was about 15. My Father was very strict growing up. It was the typical wait until your dad gets home of scenario. He was a hard working man, and a great provider to his family. He worked two jobs for over twenty years. He put me and my sister and brother through Catholic private school. My father barely graduated high school and was very proud to have graduated. He wore his High school graduation ring until the day he died. If this does not tell you why he sacrificed working two jobs for twenty years I will tell you. There was nothing more important in my dads eyes than going to school and getting a good education. He did not want his kids to have to work as hard as he had to, he wanted a better life for us. Where would I be without my mother. My mother is truly an amazing woman. I know everyone must think their mom is pretty great; unless you can tell me that your mom can go from working a 8-12 hour day, come home feed the kids, help with homework and finish laundry all in one night, than I would say you have a great mom. What sets my mom apart from other moms is she can Cook, garden, fix you’re a/c unit, retile your floor, install your carpet, change out your oil, alternator, pumps, fix your toilet, you name it my mom can do it. So how about that for some motivation, drive, will to do better. When I say I learned my hard work dedication and will to always strive to be the best from my parents, you can see, I truly mean it. My Father was a great provider and like I mentioned before he wanted the best for his kids. I remember him helping me learn to ride a bike, swim, drive a car and even ride a motorcycle. Which are all key points in a child’s life. My mother also worked very hard and late hours. I was cared for by my grandmother whom I grew very attached to. I know it’s not nice to say but I don’t think it was a big secret, I was her favorite. Going to private school definitely positively impacted my life. It is there I would like to say I met my second family. I went to the same school with practically the same students, teachers, nuns and priests from pre-k to 8th grade. It is there I felt safe, I never had to worry about drugs, fights or any negative influences. I played a few sports growing up, like soccer, baseball, volleyball, and most importantly basketball. I also became an alter boy for about 4 years. The church taught me moral character and to love everyone as we are all children of God. My parents were very lively and loved spending time with each other. They seldom ever left us out, we went right along wit them. So this meant if they were going to a dance, so were we. I loved watching my parents dance. We went to many weddings, quinceaneras, and school dances. Another favorite pass time was going to the lake, or the beach, amusement and water parks. I have a lot of fond memories of growing up with my grandmother. I use to love going to her house in the summers, because that meant great cooking, anything we wanted of course and playing with my cousins. My grandmother did not have a very big yard but it was amazing the things we would come up with playing outside. I mentioned before I played basketball. Well I grew up the shortest in class every year but what I lacked in height I made up for in speed. My dad encouraged me like no other, he taught me not to let the bigger kids beat me, he would always say, do not let them eat your sandwich. I never really understood that until I got older. I think what he meant was if you let people take what is yours you will go hungry. This inspired me some how and I collected a lot of sandwiches, because I was feared on the court, fear I would steal the basketball. I continued to play basketball until my 8th grade year. Our team won City champs two years in a row, plus one first place in every tournament for three years. Talk about building up self esteem. Another memory that sticks out in my head is the day I had enough guts to get up and learn how to dance. My mom taught me well. I enjoyed dancing so much I learned how to swing dance, lindy hop, country dance and tejano dance. My dad bought me my first car, it was a 1972 Volkswagen beetle. It was not in the best of shape but little by little my dad helped me fix it right up. All said and done it had a midnight blue metallic clear coated finished paint job with centerline rims, Pirelli tires and smoke black tented windows. I bought my first Harley Davidson when I was about 25 years old. My father always had a motorcycle until I was about the age of 15. I would say about 1 month after I bought mine, he went and bought himself one. For the first time, in a long time he was back on a bike and we were riding together. As a teenager I was pretty active. We moved from the south side of San Antonio to the outskirts of the southeast side of town. This was about the time I graduated from 8th grade. My life was about to change as I knew it. See, up to this point I only knew and interacted with Hispanics. The High school in my district in our new neighbor hood was well versed and predominately white. It is here I would truly feel and learn what assimilation was. There was a mix of races, homosexuality and people of different religious back ground. I did not fully grasp the concept of racism, to me everyone was equal. This was a very tough adjustment for me, especially since I gravitated to the basketball players, which I had always fit in with. I could not fit in with the basketball players they were much to tall, and a lot better skilled than I was. I did however end up getting picked up for the football team, but stopped playing after my sophomore year. I turned my focus to soccer. By the end of my junior year my dad had his first heart attack and I no longer wanted to play sports. I started working to help pay for things that my parents could no longer support me with. I kept some money and gave some to my parents. Without sports I quickly started falling into the wrong crowd. It was not long until I figured out I was headed on the wrong path and with some guidance from my cousins I snapped back into reality. I enjoyed going to clubs and dancing with girls, showing them all the fancy moves my parents had shown me. I can remember dancing until 2 a. m sometimes. This was not a popular decision with my parents of course. In my lifetime I have held many jobs. My first job was with a pharmacy drug store called Eckards. This introduced me to the cruel world of dishonest people. I eventually had to quit this job as I was accused of taking money from the register. I did not take any money from the register but on camera it looked like I took money from the guy that was over paid and whom owed me money, he took the change from a mystery shopper gave me what he owed me and stuck the rest in his pocket. I was very trusting and naive, I never did question what was going on. So I hit the streets, pizza hut delivery that is. I did that for a few weeks but very quickly was introduced to more than what I care to share about from transvestites to abuse. I did not do that job very long. I went to work for West Telemarketing where I found a comfortable, professional, and challenging job as an ATT representative. I am not going to lie to you this job was boring but I was really good at it, and made a lot of money as a senior in high school. After High school I partied a lot with friends and tried going to a local community college. I also tried to move out of a perfectly good home that I had with my parents. My mother cried for a long time the day I told her I wanted to move out. As it turns out, my mom was right this was not a very good idea and I probably would have done better in community college had I listened to her. I found what I thought was going to be my future in working for Pace Foods. I quickly moved up from learning how to run every machine in the place to being selected as a on the job trained mechanic in about one year. This job found me. I did not choose it. I will never forget my Tio Polo cornering me one afternoon at his house after a night of drinking. He shot it to me strait and gave me the best advise of my life, God Bless His Soul. I joined the Coast Guard at age 20. In the Coast Guard I have had many jobs. I have been a deck hand, a painter, and even a boat rescue swimmer. I really got my calling as I chose to be a corpsman in the Coast Guard. I have done everything from pharmacy, lab tech, x-ray tech, and a physical therapy technician. As I matured in my job I was trained in tactical field medicine and a swat team member. After that I was appointed as a Clinic supervisor. Currently I am running my own clinic as I am the only medical provider for over 60 people. In the Future I would like to make E-7 a rank not easily attained. I would like to finish my degree and retire in San Antonio. I have two kids an ex-wife and the woman of my dreams my wife. My second marriage has worked so well partly because we come from similar religious back grounds and we both believe in making things work. I can honestly say we don’t always see eye to eye, but our Love for each other pushes us past any short falls. I have a son from a previous marriage and she has a daughter from a previous marriage. We currently do not have one together. I hope to instill hardworking ethics and strong leadership to my children. Throughout my life I learned some of the most important things. There are many different walk of people in this world and everyone conforms to whom they were brought up to be. Individually it is our job to note all our differences, along with each persons strengths and weaknesses. I tend to follow my parents footsteps in working hard for what I have and raising my kids with strong moral and respective manners. I hope they grow up to have the respect that I have for my elders. The purpose of such rites is to show society that it has a new adult and to impress on the former youth that he or she is now an adult and expected to act as such. Social scientists like Kottak (2008) believe that rites of passage create new adult identities and allow elders to be looked at as sources of wisdom and role modeling for adult thinking and behavior.

Wednesday, August 21, 2019

Secular Views on the Concept of Kindness Essay Example for Free

Secular Views on the Concept of Kindness Essay In our modern world, it is unfortunate that kindness seems to be one of the most neglected character traits people choose to cultivate in their everyday lives. Kindness is listed by Paul as one of the Fruits of the Holy Spirit the nine visual traits that distinguish authentic Christian living in Chapter 5 of Pauls letter to the Galatians. Confucius instructed his followers to recompense kindness with kindness. One of the Ten Perfections in Buddhism is Metta, or loving-kindness. According to the Talmud, deeds of kindness are equal in weight to all the commandments. On a secular note, Nietzsche proposed that kindness and love are the most curative herbs and agents in human intercourse. Aristotle pointed out that kindness is helpfulness towards some one in need, not in return for anything, nor for the advantage of the helper himself, but for that of the person helped. Some even consider the majority of Shakespeares opus to be a study of human kindness. In my own humble opinion, kindness is an essential attribute for any person to possess. Kindness is refreshing to both receive and dish out to others worthy of it. Others tell me frequently that I am a very kind person. My mother and father both are very kind people. I dont consider kindness as something out of the ordinary, as many others seem to do. In an ideal world everyone would be brought up to show kindness to others; however we are not in an ideal world. I, on the other hand, I was raised to show respect, kindness and compassion to others. I believe that small, every day acts of kindness nourish the soul and body. For example, when I was younger I used to go visit an elderly, widowed woman named Rose in my neighborhood. She was very limited in the things she could do for herself because she had developed arthritis and had frequent back trouble. She could still do for herself, but she couldnt get around as well as she could in her youth. I did light housework, ran errands, and offered her conversation. I didnt expect anything material in return. I just welcomed the satisfaction of knowing I played a part in making this womans life easier and more satisfying. I enjoyed seeing her being able to sit on the porch and enjoy the sunshine. It warmed my heart to bring a smile to her face and to know that I made a positive difference in her day to day life. I did this without compensation for about a year. Miss Rose was such a sweet woman. It hurt me dearly when she suddenly moved away. To sum it up, I believe that it is acts of kindness such as these that would make life more fulfilling for the giver as well as the recipient. If everyone made made the decision to do one act of kindness for another everyday it would make the world an infinitely sweeter and more bearable place for all to live in. I believe that is kindness was emphasized and cultivated more by those in our society, then a host of problems in our society such as poverty, hunger and violence would be greatly reduced or eradicated.

Tuesday, August 20, 2019

Drug safety assessment

Drug safety assessment INTRODUCTION Pre-clinical studies or pre-clinical trials are very important stage of research in drug development process. Pre-clinical trials are also known as non-clinical safety assessment. The main purpose of carrying out these studies is to ensure that the test compound is safe before testing in humans (clinical trials), characterise toxicity and target organs, to fulfil regulatory requirements and to protect employees in manufacturing. In other words, quality, safety and efficacy of a test compound are determined during pre-clinical studies. Animals such as rodents (mice, rat) and non-rodent (monkey, dog) are used in pre-clinical trials before administration to humans (clinical trial phase) so as to separate efficacy from toxicity in human volunteers. The international conferences on harmonisation (ICH) for drug development are regulatory authorities which provide instructions for development and registration of new chemical entities (NCE) likewise instructions for carrying out assessment i n animals. The concept of the 3Rs (Reduction, Refinement and Replacement) is widely employed by ICH for pharmaceutical industries to comply. This concept is employed so as to reduce the numbers of animals and also to avoid prolonged testing period. Anti-arthritis drug are used to treat arthritis (inflammation of joints). Important pre-clinical tests required include general toxicology, safety pharmacology, reproductive toxicology, carcinogenicity studies and genetic toxicology . PRE-CLINICAL TESTS Test for Carcinogenicity Carcinogenicity The carcinogenicity study evaluates the carcinogenic potential of the compound. During pre-clinical studies, animals are used firstly so as to determine the potential risk of the anti-arthritis drug in humans. In order to evaluate carcinogenicity, two types of studies are conducted which are the short-term study and the long-term study. The short-term study involves using the four transgenic models. The four transgenic models used are inactivated tumour suppressor gene (p53+/- model), activated oncogene (Tg.Ac model and rasH2) and inactivated DNA repair gene (XPA-1-model). The genetic alterations of the four transgenic models are made in relation to carcinogenesis processes. The long-term study involves the use of mice or rats of both sexes and is usually a two years study. The correlation between rats to humans is about 70% and is more sensitive making them the major specie of animal used for the long-term carcinogenicity studies. Spragne-daweley has high chances of survival and as a result, these strains of rats are required for the 2years bioassay. Treated animals are divided into three groups each containing about 50-100 animals per sex. In rats, the treated groups are observed for 24months while 18months in mice. Large numbers of animal are used for this study because continuous dosing of the drug could induce tumour and also to achieve a strong statistical result. Furthermore, non-genotoxic carcinogens can cause some rodent strains to be susceptible to tumour induction and in order to distinguish rodent specific processes related to human, understanding carcinogenesis mechanisms based on the specificity of tissues is very vital. Genotoxicity Test Genotoxicity test is carried out so as to determine whether the anti-arthritis drug can cause genetic damage. The genotoxicity test required include; mouse lymphoma assay (MLA) otherwise known as in vitro mammalian cell clastogenecity, the Bruce Ames test (Ames test) and mouse micronuclei assay. These tests detects whether the anti-arthritis can cause alterations in chromosome and damage to DNA leading to genetic mutation and ultimately results in malignant tumour (cancerous cell).The Ames test is commonly used for the genotoxicity test and it detects whether the drug is genotoxic. This occurs by causing back mutation in bacteria colonies and it takes up to about 48hours . Gene mutation, clastogenecity of a genotoxic compound and chromosomal aberrations are determined via the mouse lymphoma assay (MLA) or in vitro mammalian cell clastogenecity. The MLA requires between 2-3weeks and can either give a negative result to the Ames test or not detected at all. An additional test used in g enotoxicity testing is the mouse micronuclei assay which is an in vivo study. This is required because regulatory authorities (ICH) requires both in vitro and in vivo test. The process of ADME of the anti-arthritis drug is used to detect genotoxicity via the mouse micronuclei assay. After performing all the three tests discussed and the anti-arthritis drug remains positive to all, then the drug is probably carcinogenic to humans. Test for Organ Toxicity and Biochemical Dysregulation Safety Pharmacology Safety pharmacology of the anti-arthritis drug is required to detect target organ toxicity such as cardiovascular, central nervous, respiratory, renal and gastrointestinal system. Rodents (such as mice and rats) and non-rodents (such as guinea pigs and dogs) are required or used for safety pharmacology test. Rats or mice are required for CNS and respiratory studies while dog is required for cardiovascular studies. The pharmacological activity of the anti-arthritis drug is determined by carrying out the ligand binding assay which makes in vitro studies preferable to in vivo studies. In safety pharmacology studies, the animals are divided into four groups, three treated group and one control group. The maximum number of rats required per group is fifteen and four dogs group. The duration of dosage in safety pharmacology studies is usually one month . The ICH (S7A) perspective on cardiovascular safety pharmacology required core battery studies and follow up studies. Some of the core bat tery studies include heart rate, electrocardiogram and blood pressure must be evaluated. In vitro and in vivo evaluations, conductance abnormalities including methods for assessing repolarisation must be put into consideration . Some of the follow up studies include vascular resistance, cardiac output, the effects of exogenous and/or endogenous compound on the cardiovascular responses and so on . General Toxicity studies General toxicology test is required for dose determination for No observed effect level (NOEL). The acute toxicity test is also known single dose toxicity and is required to assess biochemical dysregulation and also to determine the levels at which the anti-arthritis drug could cause an adverse reaction. The animals used for general toxicity test are rats and dogs and are usually dosed between 14-28days. Change in organ weight, histopathology, mortality rate, clinical pathology and necropsy are the parameters required to assess toxicity.General toxicology must be done before one month of reproductive studies. Reproductive Toxicity Studies The aim of reproductive toxicity studies is to reveal any effect of the anti-arthritis drug on mammalian reproduction. Rats and rabbits are the most commonly used and widely accepted animal. Rabbits are used because semen is easily collected. The ICH study design for reproductive toxicity studies include fertility and early embryonic development to implantation (rabbits dosed from day 6-18, rats dosed from day 6-15), organogenesis otherwise known as embryo-foetal development and pre and post-natal development (treatment last for 15gestation days and 21lactation days).The study design for fertility and early embryonic development studies requires four groups of 20males and 20females animal. Also, the study design for embryo-foetal development generally have four groups of 20rats or 20rabbits and ICH require evaluation of 16 to 20litters to provide a degree of consistency between studies [8; 9; 12; 13; 14]. Information derived from acute and repeated dose toxicity studies of at least o ne month are required before reproductive toxicology. Conclusion Pre-clinical studies must be carried out before clinical trials so as to protect human volunteers. All the studies described above determine how competent the anti-arthritis drug is before proceeding to clinical trials. All the regulations provided by ICH are widely used most especially the concept of 3Rs. Safety, quality and efficacy are the main objectives for carrying out preclinical studies. Some of the test required during preclinical studies includes carcinogenicity test which involves the short term and long term studies, genotoxicity test, reproductive test, safety pharmacology, renal toxicity test, cardiovascular toxicity test, general toxicity test and neurotoxicity test (functional observation battery test). REFERENCES ICH harmonised tripartite guideline, Dose selection for carcinogenicity studies of pharmaceuticals S1C(R2). Available at: http://www.ema.europa.eu/pdfs/human/ich/038395en.pdf ICH harmonised tripartite guideline, Guidance on specific aspects of regulatory genotoxicity tests for pharmaceuticals S2A Available at: http://www.bcg-usa.com/regulatory/docs/ich/ICHS2A.pdf ICH harmonised tripartite guideline, Safety pharmacology studies for human pharmaceuticals S7A. Available at: http://www.tga.gov.au/docs/pdf/euguide/ich/053900en.pdf G.B. Jena et al., 2001, Genotoxicity testing, a regulatory requirement for drug discovery and development: impact of ICH guidelines, Indian Journal of Pharmacology. David J. Tweats 1998, Impact of ICH guidelines on genotoxicity testing, PSTT Vol 1, No. 5. ICH harmonised tripartite guideline, Guideline on the need for carcinogenicity studies of pharmaceuticals S1A. Available at: http://www.bcg-usa.com/regulatory/docs/ich/ICHS1A.pdf Guideline for industry, The need for long-term rodent carcinogenicity studies of pharmaceuticals. Availableat: http://www.fda.gov/downloads/Drugs/GuidanceComplianceRegulatoryInformation/Guidances/ucm074911.pdf ICH M3; Timing of pre-clinical studies in relation to clinical trials (see safety topics). Available at: http://www.ich.org/cache/compo/276-254-1.html Preclinical toxicology: Points to consider in programme design. Available at: http://www.pacificbiolabs.com/preclinical James L. Stevens, (2006). Future of toxicology mechanisms of toxicity and drug safety: where do we go from here? Chem. Res. Toxicol., 19, 1393-1401. Yasuo Ohno, (2002). ICH Guidelines-Implementation of the 3Rs: Incorporating Best Scientific Practices into the regulatory Process. Regulatory Testing and Animal Welfare. ILAR Journal V43 Supplement 2002. Lecture notes by Dr Jean-Pierre Valentin, Director Safety Pharmacology, Safety Assessment UK, AstraZeneca. Lecture notes by Dr Lorna M. Burns, Sequani limited, Ledbury, Herefordshire Lecture notes by Dr M. Kelly.

The Red Tent: My Reaction :: essays research papers

In her book, The Red Tent, Anita Diamant attempts to expound upon the foundations laid by the Torah by way of midrashim. In doing so, parts of her stories tend to stray from the original biblical text. The following essay will explore this and several other aspects of the book as they relate to the Torah and modern midrash.   Ã‚  Ã‚  Ã‚  Ã‚  One of the first differences I recognized was the description of Leah’s eyes. In Genesis 29:17, Leah’s eyes are described as weak. Diamant dispels this ‘rumor’, saying that Leah’s eyes, one blue and one green, â€Å"made others weak† because most people had difficulty looking her in the face. By making this small adjustment, Diamant is able to create a connection between Jacob and Leah that the Bible neglects. The Bible says only that Jacob loved Rachel more than Leah, which tends to give the impression that Leah was unloved. Diamant says that Jacob was able to look Leah in the eye without any trouble and never made any comment regarding them. This is significant because it shows that Jacob overlooked a flaw in Leah that most others seemed unable to ignore, and the physical attraction between them that she later addressed in the seven days following their marriage (which was a single night in the Bible) seems to make more s ense. In addition, their discussion in the tent concluding that Jacob was to emerge after the week â€Å"feigning anger â€Å" is a midrash provides an explanation as to why Jacob slept with Leah and still complained to Laban that he had been tricked. Diamant makes Jacob appear to be more of a gentleman than the Bible does, and thus, a more likeable main character in her novel.   Ã‚  Ã‚  Ã‚  Ã‚  In The Red Tent, Diamant created people not mentioned in the Torah. One such person was Ruti, Laban’s last wife. Laban beat Ruti badly and frequently for no apparent reason. In Diamant’s book, Ruti’s fairly small role serves as a clear reason for the reader to dislike Laban. Until Ruti is introduced, besides being a drunk and making love to sheep, we find Laban to be little more than pathetic. Including Ruti in the story adds another dimesion to Laban’s character; one of cruelty and aggression. At this point, Diamant makes Laban begin to fit the novelistic â€Å"bad guy† mold quite well, and the reader finds him more repulsive than ever before. His daughters pay little attention to Ruti and ignore the evidence of their father’s abusiveness because Ruti is â€Å"the mother of their sons’ rivals, their material enemy.

Monday, August 19, 2019

Lizzie Borden Essay -- essays research papers fc

It is best described by the closing arguments for Lizzie Borden's defense, made by her attorney, George D. Robinson: The Lizzie Borden case has mystified and fascinated those interested in crime forover on hundred years. Very few cases in American history have attracted as much attention as the hatchet murders of Andrew J. Borden and his wife, Abby Borden. The bloodiness of the acts in an otherwise respectable late nineteenth century domestic setting is startling. Along with the gruesome nature of the crimes is the unexpected character of the accused, not a hatchet-wielding maniac, but a church-going, Sunday-school-teaching, respectable, spinster- daughter, charged with parricide, the murder of parents, a crime worthy of Classical Greek tragedy. This is a murder case in which the accused is found not guilty for the violent and bloody murders of two people. There were the unusual circumstances considering that it was an era of swift justice, of vast newspaper coverage, evidence that was almost entirely circumstantial, passionately divided public opinion as to the guilt or innocence of the accused, incompetent prosecution, and acquittal. 	Not much is described of Lizzie Andrew Borden's childhood. On March 1, 1851, Emma Lenora Borden was born to Andrew and Sarah Borden, and on July 19, 1860, Lizzie had arrived. While Lizzie was at the young age of two, Sarah died of uterine congestion. In 1865, Andrew Borden wed Abby Durfee-a short, shy, obese woman who had been a spinster until the age of 36. Abby's family were not as well off as the Bordens. 	Lizzie suffered from psychomotor epilepsy, a strange seizure of the temporal lobe that has one distinct symptom: a "black-out" in which the patients carry out their actions in a dream state, aware of every action without knowing what they are doing. Lizzie Borden seemed to have two entirely different personalities: the good daughter (a member of the Congressional Church, and a brilliant (conversationalist), and the bad daughter (deeply resentful of the patriarchy). These two personalities could be explained by the families' contradiction about their social statuses. She also had a habit of stealing from the local merchants. The Borden family of Fall River, Massachusetts, was well known-not only because of Andrew Borden's wealth, but also because of the New England name. Lizzi... ...rders took place. The Lizzie Borden House Bed and Breakfast Museum was to open on, appropriately, August 4. The breakfast includes food eaten the morning of the murders, such as bananas, johnnycakes, sugar cookies, and coffee with the management dressed as and playing the part of the Bordens.   Bibliography "Borden Murder Trial Begun." New York Times June 6, 1893. Clover, Carol J. Men, Women, and Chainsaws: Gender in the Modern Horror Film. Princeton: Princeton Publishing, 1992. Kent, David, ed. Lizzie Borden Sourcebook. Boston: Branden Publishing Co., 1992. The Legend of Lizzie Borden. Video. Director William Bast. George Lemaire Productions in association with Paramount, 1975. Starring Elizabeth Montgomery. "Lizzie Borden is Acquitted." New York Times. June 21, 1893. Porter, Edwin H. The Fall River Tragedy: A History of the Borden Murders. Portmand, Maine: King Phillip Publishing, 1985. http://www.sirus.com/~rlf/lizzie/chronology.html "Lizzie Borden Basic Chronology." http://www.bram.addr.com/newpage41.htm "Try to Catch Forty Whacks†¦ Er, Winks†¦ At This B&B." by Bram Eisenthal