Tuesday, December 31, 2019

The Atomic Bomb During World War II Essay - 1333 Words

On August 6, 1945 an American B-29 bomber dropped the world’s first atomic bomb over the Japanese city of Hiroshima. The bomb had an unprecedented explosion that wiped out over 90 percent of the city killing over 80,000 people; and thousands more would die later due to radiation. Three days later, as the Japanese were mourning for the dead; a second B-29 dropped another bomb killing over 40,000 people. Soon after the devastating blow, the Emperor of Japan announced the country’s unconditional surrender. Prior to August 6th, the power of Nuclear weapons were yet unknown as well as the consequences which came along with it. When the bomb was used, the prompt and utter destruction brought fear into the world which changed the fate of mankind forever. From the death of hundreds of thousand Japanese, to the ending of the war historians have debated whether it was necessary to drop the atomic bomb during World War II. World War II was not Napoleonic Warfare in the 1800’s where soldiers met each other on the battlefield to settle an issue. With the introduction of airplanes, it took warfare to a whole new level. As factories expanded, more civilian workers became involved as it became more imperative for the war effort. With such large scale operations, large factories were bombed as military objectives. Although the decision to target civilians was morally questionable and distasteful, it had originally begun with the Axis powers. Civilian bombing started as early as 1932 whenShow MoreRelatedThe Atomic Bomb During World War II1924 Words   |  8 PagesDuring World War II, Japan refused to surrender to the Allied Powers due to the fact that the fate of their leader, Michinomiya Hirohito, was uncertain. The United States wanted to end the war quickly and prevent lives being taken because of an invasion of Japan. This led to the creation of the atomic bomb with the Manhattan Project. Presiden t Truman’s order to drop the atomic bomb on Japan ended the war. However, using the atomic bomb resulted in conflicts such as the Cold War, and present day problemsRead MoreThe Atomic Bombs As A Weapon During World War II1311 Words   |  6 Pagesto use the atomic bombs as a weapon during World War II. The atomic bomb was used in order to shorten the war and save thousands of lives. However, in reality the bombs killed thousands of innocent Japanese civilians and had unfathomable repercussions for generations to come. When the value of lives is called into question, people can be swayed by the forces of loss aversion and diagnosis bias to justify their decision. When the United States created the atomic bombs during World War II, AmericanRead MoreThe Dropping Of The Atomic Bomb During World War II760 Words   |  4 PagesBurnett 5/12/16 Justification of the Atomic Bomb Thesis: The dropping of the atomic bomb during World War II by the United States on Japan was a justified act. Not only was the dropping of the atomic bomb used to save American lives, but it prevented the war from lingering on, taking the lives of more civilians. The bomb did not just make sense, but it saved lives, despite taking some, therefore making the atomic bomb a reasonable action. It is not war mentality to think of preserving theRead MoreAtomic Bombs On Japan During World War II1948 Words   |  8 PagesInfluences Affected President Harry S. Truman s Decision to Drop Atomic Bombs On Japan? This investigation analyzes the influences affecting President Harry S. Truman s 1945 decision to drop atomic bombs on Japan during World War II. Over the past 57 years, many have debated whether this was a genocidal act or a necessary military decision. To examine the driving forces present when Truman ordered the employment of atomic weaponry, this study focuses on presidential speeches, minutes ofRead MoreThe Dropping Of The Atomic Bombs On Hiroshima And Nagasaki During World War II Essay1007 Words   |  5 PagesStates, and the world, knows about the dropping of the atomic bombs on Hiroshima and Nagasaki during World War II. There are countless pictures, bombs, and destruction caused, but where did it all start? It started in the Martin Bomber Plant right here in Nebraska. The Martin Bomber Plant was commissioned well before Pearl Harbor in September 1940. All over the country, plants were being opened to make bombs, tanks, guns, and more. Even though the Unites States wasn’t fighting in the war yet, we soldRead MoreAtomic Bombs On Hiroshima And Nagasaki844 Words   |  4 PagesDuring World War II Americans dropped atomic bombs over the Japanese cities of Hiroshima and Nagasaki killing nearly 200,000 people. This resulted in Japans surrender in World War II. J. Samuel Walker analyzes this historical event in his book Prompt and Utter Destruction: Truman and the Use of Atomic Bombs. Over the past 70 years’ extensive research has been conducted and there is an understanding that Truman’s decision to drop the atomic bombs is inconclusive. It is impossible to determine thatRead MorePresident Truman Made A Nuclear Weapon1745 Words   |  7 Pagesdropped a nuclear weapon on the Japanese city of Hiroshima, at the command of President Ha rry Truman. Then, on August 9, 1945 a second atomic bomb was dropped on Japan in the city of Nagasaki. President Truman made this choice in an effort to end World War II. World War II began on September 1,1939 and ended on September 2,1945 ending in an Allie victory. This world was fought primarily by the Axis Powers: Germany, Austria, Italy, and Japan and the Allie Powers: Great Britain, France, The USSR, andRead MoreThe Atomic Bomb On The World War II887 Words   |  4 Pagesdrop two atomic bombs days apart in the Japanese cities of Hiroshima and Nagasaki. I completely agree with President Truman’s decision to drop the atomic bomb on the two Japanese cities because I believe it is the main reason that ended World War II. Being from Malaysia, my grandparents often told me stories of their sufferings during World War II. As Singapore’s former Prime Minister concurred, the Japanese soldiers were mean, brutal and vicious towards the civilians, and if the atomic bombs we re notRead MoreAtomic Bomb Essay923 Words   |  4 PagesThe Atomic Bomb was the deadliest weapons in the history of war. Throughout World War II one of the most stubborn countries to surrender was Japan who relentlessly fought against the United States of America. After failing to defeat America, Japan was overwhelmed by allied forces. Staying with tradition however, Japan would rather die in battle than to surrender. The Soviet Union also fought against America but that was towards the end of the war. The United States dropped both of the Atomic BombsRead MoreThe Atomic Bombing of Hiroshima and Nagasaki671 Words   |  3 PagesThe Bomb The atomic bomb was initially created during the time period directly preceding, and including, World War II. Although the United States was the first nation to actually utilize this devastating weapon in a combat situation, it is significant to note that several other nations, including Russia and Germany, were also rapidly attempting to manifest the technology that could produce this devastating weapon. The U.S. utilized this weapon against the cities of Hiroshima and Nagasaki within

Monday, December 23, 2019

Basic Equivalent Of The Border - 1354 Words

Professor Gardner, I combined my answers for question 1 and 3 due to they support each other. * What is the Fourth amendment exception as it pertains to border searches? Describe the functional equivalent of the border? Although the Fourth Amendment protects citizen rights against unlawful searches while it also identifies the specific criteria where probable cause is required, the Supreme Court supports certain circumstances where an exception to policy comes into play. The exception’s under border searches grants permission for authorities the sovereign right to stop and inspect people and their property entering into the country without contacting a magistrate, and having to obtain a search warrant before the search, , (Kim, 2009, p.1). Even though searches for contraband are conducted at the physical location of the border where physical barriers and control points are established, the border searches may be carried out at locations other than at the border itself. Kim identifies two lawful concepts of authorized searches; searches at the functional equivalent of the border and extended border searches. Functional equivalent of the border (FEB) is the physical location, usually the initial practical location where people entering the country are temporarily detained and questioned after crossing the initial border or point of entry. Prime examples include international airports, sea ports within the country’s territorial waters, and facilities located at theShow MoreRelatedAir Pollution1241 Words   |  5 Pagesto use data in basic prices. However, due to the data availability, we have to use an alternative approach. The basic price is the price received by the producer for goods and services that are sold, excluding taxes, subsidies, and duties on imports. Analysis with data in basic prices would exclude any influences from taxes or custom duties, and avoid errors introduced by price differences. Nevertheless, the make and use tables from the US BEA are in producers’ prices. Data in basic prices are notRead MoreThe Cause s Of Drug Trafficking991 Words   |  4 Pagesof minorities and a bit of the majority from the U.S. The Cartel and the other organized crime groups take part in this crime because of the wealth it brings. The wealth from the drug as I told earlier brings untold riches to these groups. It is basic understanding to infer riches as just money, but it isn’t in this situation. Riches in this case means the gain of power, respect, and money itself. These groups attain the power to go against their government and live to tell the story and continueRead MoreThe Armed Forces Special Powers Act Essay700 Words   |  3 Pagesthe certain basics 1. Terrorist acts aimed at overthrowing the government, striking terror in the people, or affecting the harmony of different sections of the people, 2. Activities which disrupt the sovereignty of India, or cause insult to the national flag, anthem or India’s Constitution. Any area which is declared disturbed under disturbed areas act enables armed forces to resort to the provisions of AFSPA. In disturbed areas any commissioned officer or another person of equivalent rank can useRead MoreBasic Concept Of Image Processing1594 Words   |  7 Pagesin case the center pixel is in border, then the neighbor pixels lie out of the digital image. The basic concept of connectivity of pixels explains number of image processing concepts like borders or boundaries, regions etc. Fig: - 3.1 Neighborhood of pixels. To set up if two pixels are associated, it must be resolved on the off chance that they are neighbors and if their grey levels fulfill a predefined basis of similitude (say, if their grey levels are equivalent). For example, in a parallel pictureRead MoreGlobal Economic Instability Of The United States989 Words   |  4 Pagesimprove their financial state. Taxation has often been that default â€Å"stream† and there is, for legitimate reasons, finally a committed effort in combatting BEPS. A particular area of concern being addressed in the OECD’s BEPS framework centers on cross border transactions involving hybrid financial instruments. The central issue that forms the discussion is the differing treatment of a financial instrument for tax purposes among contracting jurisdictions . A common difficulty in the taxation of hybridRead MoreThe Human Nature Of Animal Border1508 Words   |  7 Pageshuman-animal border is something people have been fascinated with for years. Humans are taught at a younger at that there is supposed to be a separation between humans and animals, but as the years have gone on this border has started to dissipate. Humans now relate to animals more than ever before. Kids idolize them because of the movies and television shows, and adults turn to animals in times of great need. Animals have become more like humans which poses the question: does this border even existRead More Self-Determination in the Basque Country Essay examples1091 Word s   |  5 PagesSelf-Determination in the Basque Country The Basques, settled on the Franco-Spanish border, are a people who do not have a country that exists as an entity of its own. They are not recognized internationally. Their borders are not respected, and their culture is repressed. Thus the history of the Basque Country is one of contentious protest against imposed conditions, unremitting effort in defense of its identity and a relentless search for a means of democratizing public lifeRead MoreControl of Virtual Networks Spanning Multiple Infrastructure Domains1688 Words   |  7 Pagesprovider is expected to identify multiple InPs that are able to provide the required physical resources. Then in order to build a new virtual network VNP needs the information about the resources from the InPs. At least the VNP has to be aware of some basic characteristics of the infrastructure, for example the edge nodes of the InP network must be externally known. However, in practical cases, the internals of the network infrastructur e are not exposed to the virtual network provider. In most of theRead MoreZimbabwe Is A Nation Country Rich Essay967 Words   |  4 PagesZimbabwe recognized for all of the gorgeous scenery such as Victoria Falls, the Zambezi River, Hwange National Park, Safari areas, and Matusadona. Victoria Falls is the world s largest sheet of falling water, located on the Zambezi River at the border of Zambia. Victoria Falls is named in honor of Queen Victoria of United Kingdom (Zijlma, A, n.d.). The local name for Victoria Falls is Mosi-oa-Tunya meaning ‘the smoke that thunder’ (Zijlma, n.d.). Zimbabwe is a must see location for hearteningRead MoreTaking a Look at Customs Valuation710 Words   |  3 Pagesduty before the goods are cleared by the customs. Further, tariff is a schedule of duties and it also known as the duty or tax imposed by a country and the duty or tax within the tariff schedule. Basically, a tax will imposed when the goods cross the border between two countries. Besides, export and import are levied either at specific rates or on ad valorem basis. For case of ad valorem duties, the value of the goods becomes the basis for calculation of duties. The important act in this system is Section

Sunday, December 15, 2019

Immigration to the United States and Dream Act Free Essays

Immigration Immigration policies and immigrants was a major issue in the American Society. The Immigration Act of 1990 raised the amount of immigrants that were allowed in the United States. Each year the number of immigrants that come to the United States were known to be very skillful and talented workers. We will write a custom essay sample on Immigration to the United States and Dream Act or any similar topic only for you Order Now They could have improved the American Society. Immigrants often traveled with their families. Many of the Immigrants that came to the United States came for a better life and to have more opportunities. The Immigration Act of 1990 also allowed no limit on the amount of visas that a family could have. Because of this 71 percent of immigration visas were going to residents. A law was also formed on how immigrants could get deported. The amout of deportations also increased as the years went on. People were concerned that the laws being passed gave immigration to much power. They get o make to much decisions. In 2012, the DREAM Act was created. It was created based upon immigrants, educators, and business leaders. Many people were against the DREAM Act, many people were for it, and their were those who were between it. The DREAM Act was able legalize the undocumented minors that entered the country. The meaning of the DREAM Act is Development Relief and Education of Alien Minors. Their are several requirements that the DREAM Act has in order for a person to eligible for it. To be eligible for the DREAM Act a person must have been 15 years of age or younger when they entered the country. Proof must being given to show that they have been in the country for at least 5 years. Some form of education either a GED or a high school diploma must be shown. They must also be under the age of 30. All of this information can be shown in Document 1. Not many states allow undocumented immigrants to enter the country and receive an education, but New York is one of the few states that allow immigrants to receive an education. I am in favor of the DREAM Act because it has many open opportunities for undocumented immigrants. The main goal of the DREAM Act is to makesure that undocumented immigrants can vote, be sucessful, and be apart of the Union. The DREAM Act supports immigrants and wants them to make it somewhere in life and be able to adapt to the American culture. Immigration Policies and Immigrant Policies are discussed in Document 4. Document 4 is stating that the U. S immigration policy wants to keep the United States as a union, which means making undocumented immigrants apart of the United States. Document 4 also shows that the United States also wants to have different cultural mixes involving a variety of different people from different places. Having morals and values are important to immigrants and also the people who are apart of the United States. The current policy for undocumented immigrants is that they still have to go through an interrogation and other processes. Another goal of the DREAM Act is to make sure that everyone is covered with health insurance. As immigrants entered the country, it was possible for them to bring different diseases with them. In 2009, immigrants had more health insurance than the native-borns. About 87. 6 percent of the United States population had health insurance, and the other 14. 1% didn’t. Compared to immigrants the native-borns were no where near having that many people on health insurance, as shown in Document 12. As the years continued, the percentages of immigrants coming to America increased. Most of the undocumented immigrants settled more in the west. The foreign born population was taking over. This is shown in document 9a. Immigrants also took jobs from the Americans because they were more hard-working. Majority of the countries that immigrants came from involved hard labor, so they already knew what it was like to work. Eventually immigrants began to pay taxes. The immigrants who were paying taxes were the ones who were head of their households. Document 9b shows ten different states that had immigrants paying taxes. The immigrants who were paying taxes were the ones who were the head of their households. Document 9b shows ten different states that had immigrants who were paying taxes. California had the highest amount of taxes being paid. While Washington and North Carolina had the lowest. Georgia, New Jersey, and Arizona are all at the same amount when it comes down to the taxes that are paid by undocumented immigrants who are the head of their households. Undocumented immigrants continue to come to the United states. The number of immigrants who are entering the country continues to increase. Immigrants are settling in the other states also. The DREAM Act applies to and affects immigrants who are entering the United States without any full understanding of how they are going to survive. Since the DREAM Act has been passed for mainly minor immigrants, it affects their level of learning. The DREAM Act requires having some learning experience and stable proof to show that. But depending on what country a inor is coming from the learning curriculum in the United States would be different from how it was to them in their home country. The DREAM Act also says that parents should start teaching their children from home so that when it’s time for them to attend public school they aren’t far behind, and maybe they will be able to pick up quickly. Overall, I still believe that the DREAM Act should be passed, but not in full becaus e it does have a positive impact on our society and it also takes away some of the power that immigration has. How to cite Immigration to the United States and Dream Act, Papers

Saturday, December 7, 2019

Range Of Events In Melbourne Australia Samples †MyAssignmenthelp.com

Question: Discuss about the Range Of Events In Melbourne Australia. Answer: Introduction Events held in any place largely affect the place both positively and negatively. Events always do not play a constructive role in the regional development of any particular place. Event industry has also been affecting the regional development adversely. The essay will discuss range of events that takes place in Melbourne, the capital of Northern Territory, Australia. Events are planned public and social occasion. Event industry consists of companies that manage and organize events. Events have become a very significant part of any city or region. Whether the city is big or small, events are organized. These events can be festivals, conferences, weddings, parties, conventions, sports and concerts. Wherever events are organized, a number of resources are required. Support of local people is needed to make the events successful. Local people and communities have a lot to contribute towards event. Events also contribute towards the development of the region. Events can be classified in to, Hallmark, mega, sports, social and cultural events. The essay will focus on the range of events taking place in Melbourne city. Discussion Melbourne is situated on Timor Sea. The total population of Melbourne is 4,725,316. Melbourne has a huge cultural and ethnic diversity. The scenic beauty of the place makes it a good location for the organizers of various events (Ruhanen and Whitford 2014). Tourism is one of the two economic sectors of the city the other being mining. Tourism employs 8 percent of the population of the city. Range of events in Melbourne Mega event- Mega events include expos, political summits, conventions and festivals. It includes sports events like, Rugby World Cup, Football Super bowl, Tennis Grand slam and Netball World championships. It is not always the number of the audience or public gathering that determines whether an event is mega or not (Kim, Boo and Kim 2013). The significance of the events also determines whether it is a mega or regular event. Some of the examples of Mega festivals of Melbourne are given below Alexandra event- An upcoming mega event that is to be held in Melbourne is Alexandra event 2017. It is the third time the event has been held in Melbourne. Lot of adventure activities are available for the visitors. Geocaching Melbourne provides customers with exciting experiences that ranges from 4WD geocaches to kayaking on the Eildon, tree climbs and walks. Significance of this event is it provides employment opportunities destination appreciation. Melbourne music week is another mega event that will be held in the city for nine days. It will be held in Melbourne town hall, the steps of the parliament house, the state library, federation square and MP pavilion. It will be organized at almost every places of the city (Hamilton, Tee and Prideaux 2015). It makes the people aware of the wide range of music genres of regional and global music and hence this event is significant. Social events- Melbourne cup carnival- This is another mega event of Melbourne. It is one of the best events held in Melbourne as it provides experiences like, racing, entertainment, fashion, culture, food. Melbourne festival- It is a social event that is organized in Melbourne every year. It is an international arts festival which includes theatre, arts, circus, music and visual arts. It also consist some of the outdoor and free events (Visit Victoria home. 2017). It promotes social interaction and inclusion helps in cultural development Hallmark events- Hallmark events are big fairs, expos, cultural and sporting events that are of international significance. The idea behind hallmark events is to enhance the significance of the place in terms of international tourism. In order to promote the place the tourism board, local and national Government hosts international events so that the place is gets global attention (Li and Jago 2013). Melbourne International Flower and Garden Show- This international event is held every year in Melbourne Royal Exhibition Building and Carlton Gardens. Carlton Gardens is also a world heritage site. People from all around the world visit Melbourne be a witness of largest horticulture event in the entire Southern Hemisphere (Getz and Page 2016). This event helps in destination appreciation and recognition of the place as tourist destination. Another Hallmark event that grabbed the attention of international audience is 2017 Australian Grand Prix, officially known as 2017 Formula 1 Rolex Australian Grand Prix. This event is important infrastructure of the destination is improved. Social events- Social events encourage cultural inclusion. Midsumma Festival- Midsumma festival is one of the social festivals that bring a mix of artists and performers under one roof for celebration of arts and culture. A number of programs are conducted in this event. Sports events- International sports event and grabs the attention of international media. So they are very important. Australian Open- It is one of the sports event of international significant that is held every year. The event is held in the Melbourne Park in the last 15 Days of January. This event gets huge media coverage and the number of visitors is also very high. In the year 2017 the number of visitors was 728, 763. Impact of events Positive Impact- Events that take place in any place helps in development of the place. Hall mark events helps in boosting tourism of that place. Events generate a need for labor to provide basic services to the visitors. The local people fulfill the human resource requirement mostly. Events are source of employment to the people living in that area. Therefore, it can be said that it boosts the economy of the place. Another positive impact of the events is that it provides entertainment to the people of that place. Income of the people is increased and as a result, the standard of living of people is improved. Interaction with people of different culture helps the local people get exposure and awareness about the other cultures. It is also a source of learning new things (Ruhanen and Whitford 2014). Social events like Melbourne festival show the vivid culture of Melbourne. It boosts the tourism of the city as it promotes the cultural diversity of the city. It causes preservation of culture of that place. Cultural inclusion is one of the aspects of event that affects the lives of aboriginal people living in Australia as they get an opportunity to mix with the people from diverse cultural backgrounds (Andersson and Lundberg 2013). International events like Melbourne international Garden show create awareness among the international visitors that Melbourne has a World Heritage site. Sports events like Grand Prix requires infrastructure development. Infrastructure development eases the lives of the people in that region. Negative Impact- Another aspect of economic impact of event tourism is it provides seasonal employment to the people of the place. Too much dependency on event tourism related jobs is not beneficial. Events are not organized frequently. The gap between two events is generally too much. People dependent on yearly events will have to wait for one year. Until then, they will have to be either unemployed or engage into other jobs. Introduction of visitors in cultural sensitive areas where is aborigines might be harmful because it causes loss of culture. One of the concerning negative impacts of events is that it disrupts the ecological balance. When the number of visitors beyond the carrying capacity of the place many challenges are faced. Issues like littering and pollution can be seen. Land, air, water contamination are other major issues that are very harmful for the sustainability of that place. Conclusion The impacts of events sometimes adversely affect the region. Too much public gathering often disrupts the ecological balance of the place. It both restores and disturbs the culture of any destination. The positive impact of event is it makes the place known to the other part of the world. This happens in case of mega events. Sports events like international cricket are often organized in TIO stadium, Northline Oval and Tracy village Oval. These kinds of events have television and radio broadcastings. Media involve provides a lot of publicity which benefits the city as it encourages in that place. Thus, it can be concluded that events are have both positive and negative impacts. Events should be organized but itsmanagement is very important so that negative impact can be reduced. References Andersson, T.D. and Lundberg, E., 2013. Commensurability and sustainability: Triple impact assessments of a tourism event. Tourism Management,37, pp.99-109. Getz, D. and Page, S.J., 2016.Event studies: Theory, research and policy for planned events. Routledge. Hamilton, J.R., Tee, S. and Prideaux, M.C., 2015. Inbound event tourism attendees: a group qualities-values approach at destination.The TQM Journal,27(2), pp.197-212. Kim, J., Boo, S. and Kim, Y., 2013. Patterns and trends in event tourism study topics over 30 years.International Journal of Event and Festival Management,4(1), pp.66-83. Li, S. and Jago, L., 2013. Evaluating economic impacts of major sports eventsa meta analysis of the key trends.Current Issues in Tourism,16(6), pp.591-611. Ruhanen, L. and Whitford, M., 2014. Indigenous Tourism and Events for Community Development in Australia. InTourism as an Instrument for Development: A Theoretical and Practical Study(pp. 183-194). Emerald Group Publishing Limited. Ruhanen, L., Whitford, M. and McLennan, C.L., 2015. Indigenous tourism in Australia: Time for a reality check.Tourism Management,48, pp.73-83. Visit Victoria home. 2017.Melbourne, Australia Official tourism website for visitors from India. [online] Available at: https://www.visitmelbourne.com/in [Accessed 16 Nov. 2017].

Friday, November 29, 2019

Meteorite or Puck Hunt Autonomous Mobile Robot

Advertising We will write a custom report sample on Meteorite or Puck Hunt: Autonomous Mobile Robot specifically for you for only $16.05 $11/page Learn More Introduction The creation of the autonomous mobile robot (AMB) project is the most important branch of the unit, HES 1305 ROBOTICS AND MECHATRONICS PROJECT 2. The plan, design, building, programming, testing, as well as debugging the different components of the project, would involve teams which consist of three members. The purpose of the autonomous mobile robot would be to travel through a maze while avoiding going over the wall of the maze. In addition, the AMB would also be required to look for certain types of â€Å"pucks or meteorites† that would be identified by their colours, in a mission, which is simulated, in Antarctica. As a result of the intricacies of the predicted settings, the AMB would be required to carry and place the meteorites or pucks in their respective base camps; they should not be thrown or rolled on the ground. In addition, the robots would not be allowed to get rid of unwanted pucks from the camps, or destroy other robots. The project is in fact a competition pitting different teams against one another. Each team would provide one robot in the competition area to collect as many meteorites and place them in the specified camps. The teachers and staff of Swinburne University provided all the sensors, LEGO parts, software, and actuators. The Method Of Design Design Philosophy One vital building block of artificial intelligence involves creation of a robot that has the ability to function under diverse and indeterminate environments, while under partial supervision. The Development of the Design Being the first time that we are taking part in this type of competition, we decide to work out a plan that would help us develop the autonomous mobile robot in the given surroundings.Advertising Looking for report on other technology? Let's see if w e can help you! Get your first paper with 15% OFF Learn More The most important part of the design involved coming up with a solution that would help the robot grab and flip over the meteorite or puck. After that, we had to go backwards with the intention of building a structure that could support all the equipment, actuators, and sensors, in order to produce a practical robot in the contest atmosphere. Design Process Hardware Part – (Name of Team member who handled this part) Handy board Autonomous robot control is usually attained by means of a Handy Board [Martin 2001]. The Handy Board was found to be a battery-powered and hand-held microcontroller board. It was perfect for both educational and personal robotics projects. It was based on the structure and functions of the Motorola 68HC11 microprocessor. Figure I The Handy Board contained the following parts: Processor: Motorola 68HC11 8-bit microcontroller with 2MHz speed RAM: 32KB battery-backed fixed RAM Scree n: 16Ãâ€"2 character LCD display unit Four 1A motors support 6 Servo motor controllers 9 Analog and 7 Digital inputs 16 Analog and 8 Digital outputs Infrared I/O capabilities Serial interface capacities Sound output 11cm x 8.5cm x 5.25 cm (L x W x H – with LCD screen, expansion board, and battery) Figure IIAdvertising We will write a custom report sample on Meteorite or Puck Hunt: Autonomous Mobile Robot specifically for you for only $16.05 $11/page Learn More The Handy Board manages Interactive C (IC). The Interactive C is a custom-made version of ANSI C programming language. Interactive C is the most widely held compiler software that is made use of with the Handy Board. In addition, the Interactive C software is a multi-tasking compiler; it has a user command line that is used for dynamic expression evaluation and compilation (Martin, 2001). The IC is sustained by the Kiss Institute for Practical Robotics (KIPR). The figure above (figure II ), demonstrates the running of the IC compiler on Windows XP. Procedure followed for programming the Handy Board using Interactive C Step 1: The Handy Board was connected to the computer using either the Serial Interface or the USB. Step 2: The wall adapter was then used to supply power to the Handy Board. Step 3: Afterwards, the Interactive C compiler software was launched on the computer. Step 4: The board was then initialized with firmware. This was achieved by holding Handy board in a unique bootstrap download mode and then clicking on the download firmware found on the tools menu of the IC compiler software.Advertising Looking for report on other technology? Let's see if we can help you! Get your first paper with 15% OFF Learn More Step 5: After completion of downloading the firmware, the Handy Board beeped, and the Interactive C welcome message appeared on the LCD screen of the Handy Board. This means that the Interactive C is now ready for use. After finishing configuring the system, we are now ready to write the necessary programs using Interactive C IDE software. Then later, we would compile it, and after that download it on to the Handy Board that will run that program. Sensors Each LEGO kit was supplied with the following sensors: Item Quantity Red LED 1 Blue LED 1 Phototransistor 4 Servo Motor 1 IR(Infra Red) Emitter/Detector 2 Micro switch 4 Combined Lego Motor Gearbox 4 Potentiometer 2 IR Range Finder (Sharp GP2D02) 1 Shaft Encoder 2 Table I Out of all these sensors, our interest and use will be limited to Combined Lego Motor Gearbox, Micro switch, Shaft Encoder, Phototransistor, LEDs, as well as IR Emitter/Detector. LED is the short form of a light-emitting diode. Just lik e the name suggests, an LED is basically a diode that gives off light. The difference between LEDs and other incandescent bulbs: LEDs are different from ordinary incandescent bulbs in the sense that they are short of a filament, which burns out. As a result, they do not get especially hot. They are solely lighted up by the motion of electrons in a semiconducting material. In addition, they could last as long as a typical transistor. Advantages: The use of LEDs endows the user with a number of advantages in comparison to the use of regular incandescent sources of light. Some of these advantages include enhanced robustness, lower consumption of energy, longer lifetime, greater durability, smaller size, improved reliability and faster switching (Jones, Flynn Seiger. 1999; Papert Harel, 1991). How LEDs work? Figure III When an LED is switched on, i.e. forward biased, electrons in the PN Junction are capable of recombining with the holes found within the device. As a result, energy is released in the form of photons. Consequently, the energy gap of the semiconductor has some bearing on the colour of the light, or the wavelength of the radiation. This is to mean that doping has some bearing on the wavelength of the Electromagnetic radiation which will be given off. In general, light-emitting diodes are usually made from substrates of Aluminium-gallium-arsenide (AlGaAs). From Electromagnetic spectrum, the wavelength for red is normally between 620 and 750 nm, while that for blue is between 450 and 475 nm. In other words, Red LED and Blue LED means that their doping components are such that the emitted wavelengths range between 620 and 750 nm, and between 450 and 475 nm in that order. Figure IV LEDs have two major uses; visual indicators and light emitters. As visual indicators, they detect the presence of things. When used as light emitters, they are usually detected by other detectors, such as phototransistors and photodiodes. Interestingly, they can be used as narrow band light sensors. Here, they operate in the reverse-bias mode. They act in response to incident light as opposed to emitting light. Phototransistor: Figure V A phototransistor can be described as a transistor that operates differently from common transistors. Unlike common transistors, whose operation modes are under the control of the applied input voltage, the operation mode of the phototransistor is can be directed by light, or the wavelength of the light. The structure of a phototransistor varies from that of a common transistor, at least in two distinct ways; While the phototransistor has a transparent window that allows light to shine on the junctions, ordinary transistors do not have such windows. An ordinary transistor has more surface area than a phototransistor, hence is able to maximize the area of light capture. When the junction is struck by light photons, there is formation of a base current. As a result, the received power is converted into a collector cur rent by the phototransistor. The phototransistor that comes with the LEGO kit has its peak response at 850 nm and its spectral sensitivity is higher than 30 per cent for light radiation that ranges between 6oo nm and 900 nm. The achievement of different gain and frequency of operation (bandwidth) is dependent on the amplifiers, or circuits, formed with these phototransistors. The positive thing that is exhibited is that the frequency and gain response is reliant on the light and its wavelength. Infra Red (IR) Emitter/Detector: The infrared emitter or detector is a circuit that is created using LEDs and phototransistors (Martin, 1994). The purpose of the IR emitter/detector is either to give off or to detect infrared radiation. An extremely fundamental infra red emitter/detector circuit is shown and described below. Figure VI This custom made circuit has one disadvantage; the use of this custom made circuit means that the ambient infra red light would constrain its detecting devices (Martin, 1994). The IR emitter/Detector that came with the LEGO kit had its peak response at 940 nm, with peak sensitivity for about 880 nm wavelengths. The IR Emitter/Detector has found many uses in robotics; it can be used for colour detection, transmitters, motion detection, obstacle detection, and encoders. Shaft Encoder: Shaft encoders can also be referred to as rotary encoders. In essence, it is an electro-mechanical piece of equipment that translates the total amount of mechanical rotation, or angle, into a corresponding amount of current (Sutton Barto, 1998). As a result, knowledge in relation to the amount of current offers information regarding the amount of rotation of the shaft, or the wheel connected to the shaft. In general, there exists, two kinds of shaft or rotary encoders; Absolute shaft encoders These types of encoders are the ones that provide us with information regarding the complete angle of rotation of the shaft. The digital type of absolute shaft encode rs generates distinctive digital code for each different angle of the shaft. There exist two fundamental kinds of absolute digital rotary encoders. These are optical encoders and mechanical encoders. Incremental shaft encoders These types of rotary encoders are the ones that provide us with information regarding the angles or rotations with regard to their previous states. The angles of rotation that are provided by the shaft encoders are in coded form. The two available and most popular methods used for encoding are Gray encoding and standard binary encoding. It is worth noting that for all advanced jobs, which involve the rotation of the wheel, there must be a feedback mechanism that comes from the wheels. As a result, it is vital that the control program is aware of the extent to which the wheel would rotate to with the intention of either altering the speed of rotation of the different wheels, or simply making sure that the vehicle is motionless and no unknown force is acti ng on it. This is basically the reason why shaft encoders are employed. Micro switch: Figure VII A micro switch can also be referred to by its technical name, miniature snap-action switch. As implied by its name, the micro switch is a switch that calls for a comparatively miniature movement of the actuator button, with the intention of producing a relatively large amount of high velocity motion of the electrical contacts in spite of the speed of actuation. Micro switches are popular and their use is widespread. This is attributed to their relatively low cost, as well as high durability. They undergo more than one million cycles; for heavy duty models, this may go up to ten million cycles. There are many places and gadgets that require micro switches for proper functioning. Some of these areas include machinery, vehicles, industrial controls, appliances, and numerous other areas for control of electrical circuits. Some common but particular areas where micro switches are employed in clude the door interlock systems on microwave ovens, safety and levelling switches in elevators, detection of faults in photocopiers, such as paper jams, and vending machines. Miniature snap-action switches are frequently made use of in tamper switches on gate valves of fire sprinkler systems, in addition to other water piping systems. In this application, it is vital to be conscious of whether valve has been shut, or it is open. Combined Lego Motor Gearbox: Figure VIII There are DC motors that were provided in Lego kit. These motors are great for building robots in view of the fact that they are powerful and compact. They normally rotate at thousands of rotations per minute. Nevertheless, most electric motors are in actual fact lacking in torque. In other words, this can be attributed to the fact that they cannot push incredibly hard. If hooked directly up to the motor’s shaft, we can note that it can hardly rotate the wheel, let alone nudge a whole robot. Despite the fact that they have inadequate torque, what they do have in plenty, is speed. In reality, if the shaft is running freely, it can rotate at a rate of numerous thousands revolutions per minute. As a result, this speed is much faster than what one wants for a robot to drive in any case. Therefore, we could do with gearboxes with the intention of trading some of this unnecessary speed for additional torque. Figure IX The LEGO system is composed of a wide range of gears with varying functions (Brooks, 1986). On the other hand, for universal purposes, 8, 24, and 40-tooth gears can be employed. These are the easiest and most efficient to utilize of the group for the reason that their diameters are selected, such that they can be interlocked with one another at standard LEGO distances. Through gear reductions, one is able to translate speed into torque (or the other way round by application of this technique in reverse). Suppose an 8-tooth gear is employed in turning a 24-tooth gear. Given tha t the smaller gear is required to rotate three times in order to turn the large gear once, the axle with the 8-tooth gear spins faster than the other. As a result of this exchange for this reduction in speed, the axle is now able to apply three times as much torque. Consequently, this generates a gear reduction ratio of 3:1. This implies that we are relinquishing a factor of three of speed and swapping it over for production of three times the torque. Lego parts Figure X Each component of the LEGO has its work cut out for it (Overmars. 2000). A number of those components are available and are simply used to join two parts that are not able to be stick together with one another. A number of other parts, for instance rollers, are supposed to hook up the wheels with a few other parts of the robot with the intention of making the wheels move with mush ease. What is more, a number of parts are large in size, which could be utilized as the base of the robot; therefore, we could place man y parts on. In addition, they could be used to connect parts that are relatively far away in distance from each other. A good number of the components that we employed in the creation of our robot were the thick red bars and long red bars that assisted us in connection between the wheels. Into the bargain, we used the big bars that have a large area to make use of it as the base of our robot. Furthermore, we could include on those big bars with the broad areas handy board, the battery, and a number of small components that could furnish a better look to our robot. In addition, we made use of the linking parts to a large extent that is on grey to join the parts which we experienced a few difficulties in connecting them together. Assembly Part – (Name of team member who did this part) Grabbing Mechanism The hardest part of the whole project was finding a solution to the problem of grabbing flip over the puck. So as to come across a superior and realistic arm, we stumbled upon a possible like way out on the internet (Williamson, 1998). The ultimate form of the grabbing piece of equipment has two motors; the work of one of the motors was to spin the arm, while the other motor had to push the meteorite aside. Chassis The chassis had to have enough strong in order to give support to handy board, batteries, and all the other sensors that the robot needed. Figure XI Sensors (Name of team member who did this part) It is worth noting that sensors are the most significant components of the robot (â€Å"How to Make a Robot – Lesson 7: Using Sensors†, 2011). When robots have them, they are able to feel, look at and make out the disparity in their surroundings. To enable the robot to verify whether there existed a puck or meteorite in the vicinity of the loading area, we employed one blue led as well as one phototransistor. The purpose of the blue LED was to give off a light beam that would be used by the phototransistor. There are cases when the beam light would be broken; this means that a puck or meteorite is in the loading region. After verifying this and finding a puck in the region, the function of the second phototransistor was to verify the colour of the puck. Readings ranged from 50 to 185 for the red puck. On the other hand, readings were larger than 200 for blue puck. The function of the third phototransistor was to rummage around for the base light with the intention of finding a way back to the base. In case the indicated value was less than 10, this showed the correct direction to the base. An infra red (IR) emitter/detector was made use of with the purpose of determining the exact location of the base. In case the indicated value was higher than 236, then the location of the black line and subsequently, the location of the goal area was illustrated. In addition, the Infra red (IR) range finder was employed in the verification of the ultimate position of the goal area. Lastly, the 4 micro switches were used to †Å"feel† the obstacles as the robot moved around. Motors and the Motor drive mechanism As a result of restriction on the available materials and constituent parts of LEGO, the drive mechanism was made to order for two motors. Figure XII The steering mechanism of the robot was very heavy. The robot used big wheels at the front, and small ones at the rear. The option of making use of rear small wheels was attributed to minimising friction, as well as having a good manoeuvrability. The robot created had major strength; it was very robust. The robustness of the robot ensured that it continued to manoeuvre in every environment it was subjected to. Conclusion This project report has covered all the things the team worked on in the hope of producing a successful robot. In addition, the report also looked at the constituent parts that were used to create the robot, and how the team employed them with the aim of building a physically powerful and innovative robot that could not be easi ly damaged or broken. In addition to that, the project report offers a number of concise ideas in relation to the Interactive C (IC) program and the Handy board. The IC program was used to program the robot so that it could be able to perform the mission as the team wanted it to do. I believe that this activity was an extremely interesting experience. The fact that were could be responsible for creation of a robot that could do a fine job by holding a verifying, collecting and putting a puck in its rightful place as the required by the task. The only initial challenge we faced was the manner in which we could thrust the arms of the robot into the exact place, and how the team could make them turn. This was soon overcome and the team successfully completed the task. References Brooks. R.A. (1986) A robust layered control system for a mobile robot. IEEE Journal of Robotics and Automation, RA-2:14–23. â€Å"How to Make a Robot – Lesson 7: Using Sensors.† (2011) [WW W] Go Robotics. Availalble from  https://www.robotshop.com/community/blog?page=1 . Jones, J.L., Flynn, A. M. and Seiger, B.A., 1999. Mobile Robots: Inspiration to Implementation. Massachusetts: A K Peters, Ltd. Martin, F.G., 2001. Robotic Explorations: a Hands-on Introduction to Engineering. Massachusetts: Prentice Hall. Martin, F.G.,1994. Circuits to Control: Learning Engineering by Designing LEGO Robots, doctoral dissertation, Program in Media Arts and Sciences, Massachusetts Inst. of Technology, Cambridge, Mass. McKerrow, P.J., 1993. Introduction to Robotics. Boston: Addison-Wesley. Overmars, M., 2000. Lego robots tips and tricks. [WWW] Web. Papert S. and Harel, I. eds.,1991. Constructionism. Westport, Conn.: Ablex. Sutton, R.S. and Barto, A.G.,1998. Reinforcement Learning: An Introduction. Cambridge, Mass.: The MIT Press. Williamson, B., 1998. The Lego: FetchBot. [WWW] Freelug. Available from  http://perso.freelug.org/benw/fetchbot/index.html . This report on Meteorite or Puck Hunt: Autonomous Mobile Robot was written and submitted by user 3-D Man to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Monday, November 25, 2019

Set It and Forget It Three Small Tweaks That Can Make a Big Difference in Your Bottom Line

Set It and Forget It Three Small Tweaks That Can Make a Big Difference in Your Bottom Line In business, people outsource. In business, people use technology to solve their problems and make their lives easier. Writers? Not so much. We like to find that hardest, longest, most frustrating way of doing things and hold onto it as if our very existence depends on it. Right? Or perhaps you’re a writer who feels there’s nothing in your business that could even be automated, certainly not the process of finding clients or generating assignments. And that’s where I come in. Because I’m a big believer in making life easy when it can be made easy. I don’t skimp on research, I certainly don’t skimp on the time I spend perfecting my writing and my work, but if there’s a way in which I could automate the business end of my work, I’m all for it. Here then are three things I do routinely in the set it and forget it category that could help free up some time and generate a bit more income for you. Your Website I like to think of assignments that come to me through my website as â€Å"found money.† It’s not work I go looking for and it usually pays pretty well, because clients who’re searching on Google for freelancers in India just haven’t found the right ones yet and are willing to pay good rates for someone they think might make their life easy. I built my website once, and, while I update it frequently, it doesn’t actually require work or effort on my part to find these clients. A presence on Google is enough. My website works for me because of location, but you may have another specific skill set. You may, for instance, be a writer who does a lot of copywriting work for waste management companies. You want to make sure that when someone searches for that niche, your name pops up. That’s going to bring you business constantly and if you’re not popping up on some niche on some Google search, you’re losing money. Your Reprints I don’t believe there’s a lot of found money in reprints anymore but if you automate the process and make it simple, a few resulting sales may be worth the time investment you make in setting up the system. My trick is simple: When you get a contract for your piece, make a note of how soon after the piece is published you’re allowed to have it reprinted and set that date on your calendar. On that date, spend an hour or two looking for markets for that reprint (you can usually find about 20-30 markets) and do an e-mail blast. If the market is good, the timing is perfect, and you’re lucky, you’ll make a sale - or three - and if not, you haven’t spent hours wasting your time on trying to market a reprint that’s not going anywhere. If it sells, great. If not, move on. The next time you have something published, do this again. Your Letter of Introduction I’ve just rewritten my Letter of Introduction because I wanted it to have an even greater impact, but my last LOI brought in tens of thousands of dollars worth of revenue for me. I did a blast every couple of months when I felt that work was drying up. Without fail, it managed to either drum up some business or help me connect with a new editor or client. A good Letter of Introduction takes work, though, so don’t expect to just bang one out in ten minutes and expect to see the money rolling in. I try to personalize my LOIs each time I send them out, even though the basic format remains the same. And I also take great care to write it well the first time so that it’s a template I can build off. Spend a few hours perfecting your LOI like you would a brochure or any other marketing material. But once you’ve done it, it’s an easy income generator that can bring in clients quickly without much more than an email blast every few months. When you set it and forget it, you create time for yourself to do the things that are important to you, like writing. What part of your freelancing business will you automate today?

Friday, November 22, 2019

Explain T. Adorno and M. Horkheimers critique of the culture industry Essay

Explain T. Adorno and M. Horkheimers critique of the culture industry and discuss whether these are still relevant for understanding cultural production today - Essay Example Therefore, culture is produced and consumed like any other industrial commodity. According to Theodor Adorno, commercialisation of culture is a capitalistic idea whose main goal is to maximise profit. Culture is the slave of the corporate which is used to gain profit. To achieve their goal, the culture on the market must be attractive to the larger segment of the group or society (Adorno & Horkheimer, 1979). Theodor Adorno and Horkheimer have critically analysed the concept of a culture industry. They view the idea as a continuation of a capitalistic system, which aims to reduce cost of production while increasing profit. In a pure capitalistic setting, the factors of production are used efficiently to attain maximum benefits. For example, workers are paid according to their input contribution, which encourage high labour utility. Marxist theory predicted that the capitalist system will eventually fall because it will trigger a social revolution from the exploited workers. The work o f the two scholars is pointing out why the social revolution did not happen as anticipated by Marx. Mass media technology is the main factor of production in industrial culture, which includes; use of radio, television and publications. Mass media technology allows information to spread quickly to a large audience (Bottomore, 1984). To understand the critic of Adorno and Horkheimer, it is important to note that they are products of the German culture, which they viewed as superior to the popular culture of many western nations. They referred their culture as high culture that educates and motivates people. On their observation, popular culture is not exciting, and it enhances uniformity in a society. To these analysts, culture industry leads to standardisation in the society, which refers to being accustomed to the products of the culture industry. This makes the public to be addicted to the mass culture and forget to challenge the inequality of the ruling economic system (Marcuse, 1964). In their theory of pseudo individuality, they claim that the culture industry makes an individual a commodity of trade, which is produced and sold in mass. For instance, a music work of an artist can be reproduced in mass and sold to consumers. The artist involved is advertised and treated like any other industrial product making person lose their individual identity as a human being (Adorno, 2001). According to two scholars, the mass culture is the trickery system that politicians use to attain their desired goals, so the popular culture is the tool that enables them to gain support of the masses. For example, during the Second World War, the mass entertainment and information was used to rally Americans to approve and support a war that was long and costly (Kellner, 2003). According to Jarvis (1998) mass media is a deception idea which is meant to enslave the public. Popular culture is the product of all the social classes in a society, but commercialisation of culture diff erentiated the structure so that they can sell to the larger group in the market. The corporations involved in production and marketing of culture are inherently capitalistic hence they propagate capitalistic ideology. The theorist found the mass media to be blind of the social inequalities in a society. It makes people forget the plain truth of economic and social differences, making them appear as if they are living in a dark cave. Just like in a capitalist system, culture industry uses its own ways of dominance to ensure the control of the masses and the continuity of the system. Therefore, the mass media is the main tool of dominance in the culture industry, which ensures people consume the products of the industry (Martin-Barbero, 1993). It encourages people to forget

Wednesday, November 20, 2019

Working Mothers Benefit Familes Vs Stay-at-Home Mothers Benefit Essay

Working Mothers Benefit Familes Vs Stay-at-Home Mothers Benefit Families - Essay Example One major reason for which working mothers have been praised is the influence that they have on their children. It has been observed that the children of working mothers have a generally positive attitude towards women. The thoughts on sex and gender roles are also less rigid as compared to their counterparts. Their daughters and especially have an acquired and greater self esteem and a more positive view of themselves as workers in the society at large. Meanwhile, the sons acquire a positive attitude of shared roles that they take to their own marriages. The overall effect of working mothers would be an increased number of women in the labor force, as equal partners with men. This would mean that the attitudes of children and their psychologies would be less focused on their sexes or gender (Valente, 272). Additionally, working mothers, contend that there are more positives than negatives to being a working mother both from a family and a personal standpoint (Valente, 270). Such a situation ensures that the woman gets a varied life that is not confined to the home. Unlike staying at home mothers whose experiences are the same, working mothers say that the interactions that they have with their husbands are mostly at a peer to peer level, the financial position of the family is complimented and as a result the needs of the family are quickly and easily met. The typical day of a working mother involves the duties of a mother in addition to her responsibilities as a worker. Such women sometimes get the advantages of both sides but the disadvantages of only one side, being a working mother. While it is true that they may employ the services of a housekeeper or baby sitter, there are others who do not. Moreover, such a move would detach them from their families and children if their whole focus is on their careers. On the contra side, there are quite a number of women who are opting or reconsidering the idea of becoming stay at home

Monday, November 18, 2019

Africa and Colonial Essay Example | Topics and Well Written Essays - 500 words

Africa and Colonial - Essay Example Later the British conquered and held for a period, todays Egypt, Nigeria, Uganda, and South Africa to name a few. The French controlled what today is Madagascar, Algeria, and most of West Africa. Belgium controlled the Belgium Congo, which included todays Rwanda. Rwanda is one example of how African colonization is important to understand the study of Africa. Belgium used the Tutsi as servants against the Hutu. The Hutu massacred between half a million to a million Tutsi in 1994 for grudges left over from Belgium rule. Colonization separated, lumped together, and turned African against African. The major colonizers of Africa were France, England, Germany, Belgium, and the Portuguese. The formal colonization of these nations over Africa began at the Berlin Conference 1884-1885 with the debating parties being Germany, England, and France. Although this conference really did not solve anything, the race to colonize Africa begin. With military might, new maps of the interior, the Europeans set up local governments in Africa. For example, the French, Portuguese, Germans, and Belgians set up direct governments. These governments had French, Portuguese, Germans, and Belgians in positions of power in Africa. The English ruled indirectly. They set up local power holders, then made them serve British interests. European powers were able to conquer Africa, because Africa had great travel routes. These routes helped in military and trade ventures for the Africans, but made them weak to the Europeans. Secondly, the thousands of different African tribes made unity impossible. The Europeans used this to their advantage, turning African against African. Especially after the mistreatment, Africans were afraid, but defiant. Their defiance was met by more force. In the end, the Africans submitted to the European colonists. However, their fury never abated. Today in liberated South Africa, white farmers are attacked. Rwanda has been through genocide.

Saturday, November 16, 2019

Nurse Strategies to Prevent Elderly Suicide Attempts

Nurse Strategies to Prevent Elderly Suicide Attempts Investigation into nurse strategies to prevent or minimise attempted suicide in patients aged 65 and over. Abstract This dissertation considers the rationale for positive nurse-based intervention in consideration of issues relating to suicide in the elderly. The introduction sets the context, including the historical context, of the issues and discusses the negative effects of ageism on issues relating to suicide in the elderly. The literature review considers selected texts which have been chosen for their specific relevance to the issue and particularly those that espouse the view that ageism is counter productive to a satisfactory quality of life outcome for the elderly person. Conclusions are drawn and discussed with specific emphasis on those measures that are of particular relevance to the nursing profession whether it is in a secondary care facility, a residential home setting or in the primary healthcare team and the community. We can observe, from a recent paper (O’Connell H et al. 2004), the comments that, although there is no doubt that the elderly present a higher risk of completed suicide than any other age group, this fact receives comparatively little attention with factors such as media interest, medical research and public health measures being disproportionately focused on the younger age groups (Uncapher H et al. 2000). Perhaps we should not be surprised at the fact that both suicidal feelings and thoughts of hopelessness have been considered part of the social context of growing old and becoming progressively less capable. This is not a phenomenon that is just confined to our society. We know that the Ancient Greeks tolerated these feelings in their society and actively condoned the option of assisted suicide if the person involved had come to the conclusion that they had no more useful role to play in society (Carrick P 2000). Society largely took the view that once an individual had reached old age they no longer had a purpose in life and would be better off dead. In a more modern context, we note the writings of Sigmund Freud who observed (while he was suffering from an incurable malignancy of the palate: It may be that the gods are merciful when they make our lives more unpleasant as we grow old. In the end, death seems less intolerable than the many burdens we have to bear. (cited in McClain et al. 2003) We would suggest that one of the explanations of this apparent phenomenon of comparative indifference to the plight of the elderly in this regard is due to the fact that the social burden of suicide is often refered to in purely economic terms, specifically relating to loss of social contribution and loss of productivity. (Brechin A et al. 2000). This purely economic assessment would have to observe that the young are much more likely to be in employment and less likely to be a burden on the economic status of the country whereas with the elderly exactly the converse is likely to be true. This results in economic prominence being give to the death of a younger person in many reviews. (Alcock P, 2003). There is also the fact that, despite the fact that we have already highlighted the increase in relative frequency of suicide in the elderly, because of the demographic distributions of the population in the UK, the absolute numbers of both attempted suicides and actual suicides are greater in the younger age ranges and therefore more readily apparent and obvious. The elderly are a particularly vulnerable group from the risk of suicide. In the industrialised world males over the age of 75 represent the single largest demographic group in terms of suicide attempts. Interestingly (and for reasons that we shall shortly discuss) although there is a general trend of increasing suicide rate with age the excess rates associated with the elderly are slowly declining in the recent past (Cattell 2000). We can quantify this statement by considering the statistics. If we consider the period 1983 to 1995 in the UK then we can show that: The suicide rates for men reduced by between 30% and 40% in the age groups 55–64, 65–74 and 75–84 The rates for the most elderly men (males over 85 years) remained fairly static, this group still having the highest rates of any group By way of contrast, the 25- to 34-year-old male group exhibited a 30% increase in suicide rate during the same period, this group are becoming the group with the second highest rate, while the 15- to 24-year-old male group demonstrated a 55% increase in suicide rates. (WHO 2001) Female suicide rates have shown a similar overall decrease, reducing by between 45 and 60% in the 45–84 age group. Elderly women, however, retain the highest rates throughout the life span (Cattell 2000) The ratio of male to female elderly suicide deaths remains approximately 3:1 (Fischer L R et al. 2003) We can suggest that these trends in reduction of suicide, particularly in the elderly are likely to be due, amongst other things, to: The improved detection of those at risk together with the advent of aggressive treatment policies relating to mental illness in the elderly. (Waern M et al. 2003) One of the main reasons, we would suggest, for this obviously changing pattern and the discrepancies in the suicide rates between the age ranges, is the fact that, in direct consideration of the context of our topic, the elderly are more likely to be both amenable to professional help and also, by virtue that a higher proportion are likely to be in direct contact with healthcare professionals either through failing health or nursing homes and hospitals, (Suominen K et al. 2003), have the warning signs of impending suicide recognised and acted upon more promptly than the younger, arguably more independent age group. In specific consideration of the elderly group we should also note that attempted suicide is more likely to be a failed suicide attempt rather than a parasuicide. (Rubenowitz E et al. 2001). There is considerable evidence that the incidence of depression is increased in the presence of a concurrent physical illness (Conwell Y et al. 2002) and clearly this is going to be more likely in the elderly age group. Some sources have cited association rates of between 60-70% of major depression with physical illness in the over 70yr olds. (Conwell Y et al. 2000). Another significant factor is that it is commonly accepted that an attempted suicide is a strong independent risk factor in the aetiology of further suicide attempts. (Conwell Y et al. 1996) This trend is much more marked in the elderly group with a ratio of about 4:1 which compares very badly with the ratios in the younger age groups of between 8:1 and 200:1 (depending on age range, definition and study). (Hepple J et al. 1997) In this dissertation it is intended to gain evidence based knowledge of the scope and significance of the phenomenon of attempted suicide in the elderly. In addition it is intended to gain evidence based knowledge in the use of strategies to ameliorate attempted suicide in the elderly to highlight gaps in the literature available and to suggest recommendations for change in nursing practice It is hoped to be able to suggest areas for research into the phenomenon of attempted suicide in the elderly. The initial strategy was to undertake a library search at the local post graduate library and the local university library (Client: you might like to personalise this) on the key words â€Å"suicide, elderly, prevention strategies, industrialised societies†. This presented a great many papers. About 40 were selected and read to provide an overview of the literature in this area. During this phase, references were noted and followed up and key literary works were assimilated. The bulk of the papers accessed and read were published within the last decade, however a number of significant older references were also accessed if they had a specific bearing on a particular issue. The most significant references were accessed and digested. The dissertation was written referencing a selected sub-set of these works. To increase nurses knowledge and understanding of attempted suicide in the older age group and to highlight through the literature review, evidence based strategies that an be employed to ameliorate attempted suicide amongst the elderly. Literature review Before commencing the literature review, it is acknowledged that the literature on this subject is huge. The parameters of the initial search have been defined above. In addition it should be noted that there is a considerable literature on the subject of assisted suicide which has been specifically excluded from these considerations The literature base for suicide in the elderly is quite extensive and provides a good evidence base for understanding, appropriate action and treatment. (Berwick D 2005) One of the landmark papers in this area is by Hepple and Quinton (Hepple J et al. 1997) which provided a benchmark, not only on the aetiology of the subject, but also in the long term outcomes, which, in terms of potential nursing care input, is extremely important. The paper points to the fact that there is a good understanding of the absolute risk factors for suicide in the elderly but a comparative lack of good quality follow up studies in the area. It set out to identify 100 cases of attempted suicide in the elderly and then follow them up over a period of years. The study was a retrospective examination of 100 consecutive cases of attempted suicide that were referred to the psychiatric services over a four year period. The authors were able to make a detailed investigation (including an interview of many of the survivors), about four years later. Their findings have been widely quoted in the literature. Of particular relevance to our considerations here we note that they found that of the 100 cases identified, 42 were dead at the time of follow up. Of these, 12 were suspected suicides and five more had died as a result of complications of their initial attempt. There were 17 further attempts at suicide in the remaining group. Significantly, the twelve women in the group all made non-lethal attempts whereas all five of the men made successful attempts. The authors were able to establish that the risk of further attempts at suicide (having made one attempt) was in excess of 5% per year and the â€Å"success† rate was 1.5% per year in this group. From this study we can also conclude that the risk of successful repeat attempted suicide is very much greater if the subject is male. The authors were also able to establish that, because of their initial attempt, those at risk of self harm were likely to be in contact with the Psychiatric services and also suffering from persistent se vere depression. We can examine the paper by Dennis (M et al. 2005) for a further insight into the risk factors that are identifiable in the at risk groups. This paper is not so detailed as the Hepple paper, but it differs in its construction as it is a control matched study which specifically considered the non-fatal self harm scenario. The study compared two groups of age matched elderly people both groups had a history of depression but the active study group had, in addition, a history of self harm. The significant differences highlighted by this study were that those in the self harm group were characterised by a poorly integrated social network and had a significantly more hopeless ideation. This clearly has implications for intervention as, in the context of a care home or warden assisted setting, there is scope for improving the social integration of the isolated elderly, and in the domestic setting community support can provide a number of options to remove factors that mitigate towards soci al isolation. This would appear to be a positive step towards reducing the risk of further self harm. The O’Connell paper (O’Connell et al. 2004) is effectively a tour de force on the pertinent issues. It is a review paper that cherry-picks the important information from other, quite disparate, studies and combines them into a coherent whole. It is extremely well written, very detailed, quite long and extremely informative. While it is not appropriate to consider the paper in its entirety, there are a number of factors that are directly relevant to our considerations here and we shall restrict our comments to this aspect of the paper. In terms of the identification of the risk factors associated with attempted suicide in the elderly, it highlights psychiatric illnesses, most notably depression, and certain personality traits, together with physical factors which include neurological illnesses and malignancies. The social risk factors identified in the Dennis paper are expanded to include â€Å"social isolation, being divorced, widowed, or long term single†. The authors point to the fact that many of the papers refered to tend to treat the fact of suicide in reductionist terms, analysing it to its basic fundamentals. They suggest that the actual burden of suicide should also be considered in more human terms with consideration of the consequences for the family and community being understood and assessed. (Mason T et al. 2003) In terms of nursing intervention for suicide prevention, we note that the authors express the hypothesis that suicidality exists along a continuum from suicidal ideation, through attempted suicide, to completed suicide. It follows from this that a nurse, picking up the possibility of suicidal ideation, should consider and act on this as a significant warning sign of possible impending action on the part of the patient. The authors point to the fact that the estimation of the actual significance of the various prevalences of suicide varies depending on the study (and therefore the definition) (Kirby M et al. 1997). In this context we should note that the findings do not support the ageist assumptions expounded earlier, on the grounds that the prevalence of either hopelessness or suicidal ideation in the elderly is reported as up to 17% (Kirby M et al. 1997), and there was a universal association with psychiatric illness, especially depressive illness. If we consider the prevalence of suicidal feelings in those elderly people who have no evidence of mental disorder, then it is as low as 4%. It therefore seems clear that hopelessness and suicidality are not the natural and understandable consequences of the ageing process as Freud and others would have us believe. This has obvious repercussions as far as nursing (and other healthcare) professionals are concerned, as it appears to be clearly inappropriate to assume that suicidality is, in most cases, anything other than one of many manifestations of a mental illness. It also follows from this, and this again has distinct nursing implications, that suicidal ideation and intent is only the tip of the iceberg when one considers the weight of psychological, physical and social health problems for the older person. (Waern M et al. 2002) If one considers evidence from studies that involve psychological autopsies, there is further evidence that psychopathology is involved. Depressive disorders were found in 95% in one study. (Duberstein P R et al. 1994) Psychotic disorders and anxiety states were found to be poorly correlated with suicidal completion. Further evidence for this viewpoint comes from the only study to date which is a prospective cohort study in which completed suicide was the outcome measure. (Ross R K et al. 1990). This shows that the most reliable predictor of suicide was the self-rated severity of depressive symptoms. This particular study showed that those clients with the highest ratings were 23 times more likely to die as the result of suicide than those with the lowest ratings. It also noted that other independent risk factors (although not as strong), were drinking more than 3 units of alcohol per day and sleeping more than 9 hours a night. One further relevant point that comes from the O’Connell paper is the fact that expression of suicidal intent should never be taken lightly in the older age group. The authors cite evidence to show that this has a completely different pattern in the elderly when compared to the younger age groups. (Beautrais A L 2002). The figures quoted show that if an elderly person undertakes a suicide attempt they are very much more likely to be successful than a younger one. The ratio of parasuicides to completed suicides in the adolescent age range is 200:1, in the general population it is between 8:1 and 33:1 and in the elderly it is about 4:1. (Waern M et al. 2003). It follows that suicidal behaviour in the elderly carries a much higher degree of intent. This finding correlates with other findings of preferential methods of suicide in the elderly that have a much higher degree of lethality such as firearms and the use of hanging. (Jorm A F et al. 1995). The paper by Cornwell (Y et al. 2001) considers preventative measures that can be put in place and suggests that independent risk factors commonly associated with suicide in the elderly can be expanded to include psychiatric and physical illnesses, functional impairment, personality traits of neuroticism and low openness to experience, and social isolation. And of these, t is affective illness that has the strongest correlation with suicide attempts. We have discussed (elsewhere) the correlation between impending suicide and contact with the primary care providers. Cornwell cites the fact that 70% of elderly suicides have seen a member of the primary healthcare team within 30 days of their death and therefore proposes that the primary healthcare setting is an important venue for screening and intervention. It is suggested that mood disorders are commonplace in primary healthcare practice but, because they are comparatively common, are underdiagnosed and often inadequately treated (ag eism again). The authors suggest that this fact alone points to the fact that one of the suicide prevention strategies that can be adopted by the primary healthcare team. they suggest that clinicians, whether they are medically qualified or nursing qualified, should be trained to identify this group and mobilise appropriate intervention accordingly. Obviously the community nurses can help in this regard as they are ideally placed to maximise their contact with vulnerable and high risk groups. We have identified the role of a major depressive illness in the aetiology of suicide in the elderly. Bruce (M L et al. 2002) considered the role of both reactive and idiopathic major depression in the population of the elderly in a nursing home setting. This has particular relevance to our considerations as firstly, on an intuitive level, one can possibly empathise with the reactive depressive elements of the elderly person finding themselves without independence in a residential or nursing home and secondly, this is perhaps the prime setting where the nurse is optimally placed to monitor the mood and other risk factors of the patient and continual close quarters. The salient facts that we can take from this study are that there was a substantial burden of major depressive symptomatology in this study group (13.5%). The majority (84%) were experiencing their first major depressive episode and therefore were at greatest risk of suicide. The depression was associated with comorbidity in the majority of cases including â€Å"medical morbidity, instrumental activities of daily living disability, reported pain, and a past history of depression but not with cognitive function or sociodemographic factors.† All of these positive associations which could have been recognised as significant risk factors of suicide in the elderly. Significantly, in this study, only 22% of all of the seriously depressed patients were receiving antidepressant therapy and none were receiving any sort of psychotherapy. In addition to this the authors point to the fact that 31% of the patients who were put on antidepressants were taking a subtherapeutic dose (18% because they were purposely not complying with the dosage instructions). The conclusions that the authors were able to draw from this study were that major depression in the elderly was twice as common in the residential setting as opposed to those elderly patients still in the community. The majority of these depressed patients were effectively left untreated and therefore at significant risk of suicide. There was the obvious conclusion that a great deal more could be done for this study population in terms of relieving their social isolation and depressive illnesses. And, by extrapolation, for their risk of suicide. Ethical considerations. In consideration of the issue of suicide in the elderly we note that there are a number of ethical considerations but these are primarily in the field of assisted suicide which we have specifically excluded from this study. (Pabst Battin, M 1996) Having established the evidence base in the literature that defines the risk factors that are known to be particularly associated with suicide in the elderly, we take it as read that this will form part of the knowledge base for the nurse to be alert to, and to identify those patients who are at particular risk of suicide. It is equally important to be aware of those factors that appear to confer a degree of protection against suicide. This will clearly also help to inform strategies of intervention for the nurse. Studies such as that by Gunnell (D et al. 1994) point to the fact that religiosity and life satisfaction were independent protective factors against suicidal ideation, and this factor was particularly noted in another study involving the terminally ill elderly where the authors noted that higher degrees of spiritual well-being and life satisfaction scores both independently predicted lower suicidal feelings. (McClain et al. 2003). The presence of a spouse or significant friend is a major protective factor against suicide. Although clearly it may not be an appropriate intervention for nursing care to facilitate the presence of a spouse (!) it may well be appropriate, particularly in residential settings, to facilitate social interactions and the setting up of possible friendships within that setting (Bertolote J M et al. 2003) This Dissertation has considered the rationale behind the evidence base for nursing intervention and strategies to prevent or minimise suicide attempts in the elderly age group. We have outlined the literature which is directed at identification of the greatest â€Å"at risk† groups and this highlights the importance of the detection and treatment of both psychiatric disorders (especially major depression), and physical disorders (especially Diabetes Mellitus and gastric ulceration). (Thomas A J et al. 2004) Although we have been at pains to point out the relatively high and disproportionate incidence of suicide in the elderly, we should not loose sight of the fact that it is not a common event. One should not take the comments and evidence presented in this dissertation as being of sufficient severity to merit screening the entire elderly population. (Erlangsen A et al. 2003) The thrust of the findings in this dissertation are that the screening should be entirely opportunistic. The evidence base that we have defined should be utilised to identify those who are in high risk groups, for example, those with overt depressive illnesses, significant psychological and social factors, especially those who have a history of previous attempted suicide. The healthcare professional should not necessarily expect the elderly person to volunteer such information and if the person concerned is naturally withdrawn or reserved, minor degrees of depressive symptoms may not be immediately obvious. (Callah an C M et al. 1996). In terms of direct nursing intervention, this must translate into the need to be aware of such eventualities and the need to enquire directly about them. The nurse should also be aware that the presence of suicidal feelings in a patient with any degree of depression is associated with a lower response rate to treatment and also an increase in the need for augmentation strategies. The nurse should also be aware of the fact that these factors may indicate the need for secondary referral. (Gunnell D et al. 1994). If we accept the findings of Conwell (Y et al. 1991), then the estimated population at risk from significant mood disorder and therefore the possibility of attempted suicide in the elderly, is 74%. This can be extrapolated to suggest that if mood disorders were eliminated from the population then 74% of suicides would be prevented in the elderly age group. Clearly this is a theoretical viewpoint and has to be weighed against the facts that firstly â€Å"elimination† of mood disorders (even if it were possible), would only be achieved by treatment of all existing cases as well as prevention of new cases, and the secondary prevention of sub-clinical cases. We know, from other work, that the detection and treatment of depression in all age ranges is low, and even so only 52% of cases that reach medical attention make a significant response to treatment (Bertolote J M et al. 2003). These statistics reflect findings from the whole population and the detection rates and response rates are likely to lower in the elderly. (Wei F et al. 2003). It follows that although treatment of depressive illness is still the mainstay of treatment intervention as far as suicide prevention is concerned, preventative measures and vigilance at an individual level are also essential. Nursing interventions can include measures aimed at improving physical and emotional health together with improved social integration. Sometimes modification of lifestyle can also promote successful ageing and lead to an overall decrease in the likelihood of suicidal feelings. (Fischer L R et al. 2003) On a population level, public health measures designed to promote social contact, support where necessary, and integration into the community are likely to help reduce the incidence of suicide in the elderly, particularly if we consider the study by Cornwell (Y et al. 1991) which estimated the independent risk factor for low levels of social contact in the elderly population as being 27%. Some communities have provided telephone lines and this has been associated with a significant reduction in the completed suicide in the elderly (Fischer L R et al. 2003) To return to specific nursing interventions, one can also suggest measures aimed at reducing access to, or availability of the means for suicide such as restricting access to over the counter medicines. (Skoog I et al. 1996), Some sources (Cattell H 2000) point to the possibility of introducing opportunistic screening in the primary healthcare setting. The rationale behind this suggestion is the realisation that there is a high level of contact between the suicidal elderly person and their primary healthcare team in the week before suicide (20-50%) and in the month before suicide (40-70% make contact). This is particularly appropriate to our considerations here because of the progressively increasing significance of the role of the nurse within the primary healthcare team particularly at the first point of contact. (Hogston, R et al. 2002) The evidence base for this point of view is strengthened by reference to the landmark Gotland study (Rutz W et al. 1989) which examined the effect of specific training in suicide awareness and prevention in the primary healthcare team by providing extensive suicide awareness training and measures to increase the facilitation of opportunistic screening of the population. Prior to the intervention, the authors noted that, when compared to young adults, the elderly were only 6% as likely to be asked about suicide and 20% as likely to be asked if they felt depressed and 25% as likely to be refered to a mental health specialist. This balance was restored almost to normality after the intervention. Suicide in the elderly is a multifaceted and complex phenomenon. It appears to be the case that the elderly tend to be treated with different guidelines from the young suicidal patient insofar as the increased risk is not met with increased assistance. (Lykouras L et al. 2002). We have presented evidence that the factors included in this discrepancy may include the higher overall number of young suicides, the higher economic burden that society appears to carry for each young suicide together with ageist beliefs about the factors concerning suicide in the elderly. From the point of view of nursing intervention, both in a hospital and in a community setting, there should be greater emphasis placed on measures such as screening and prevention programmes targeted at the at risk elderly. There is equally a need for aggressive intervention if depression or suicidal feelings are overtly expressed, particularly in the relevant subgroups where additional risk factors may be active, for example those with comorbid medical conditions or social isolation or recent bereavement. (Harwood D et al. 2001), Many of the elderly spend their last years in some form of sheltered accommodation, whether this is a nursing home, a hospital, warden assisted housing or being cared for by the family. (Haupt B J et al. 1999) In the vast majority of cases this is associated with a loss of independence, increasing frailty and an increasing predisposition to illness that comes with increasing age. (Juurlink D N et al. 2004). This loss of independence and increasing predisposition to illness is also associated with depressive illnesses of varying degrees. (Bruce M L et al. 2002). These patients are arguably, by a large, more likely to come into contact with the nurses in the community. (Munson M L 1999) The comments that we have made elsewhere relating to the nurse’s role in being aware of the implications for the depressed elderly patient are particularly appropriate in this demographic subgroup. As a general rule, it may be easier to keep a watchful eye on patients who are exhibiting early sig ns of depressive illness or mood disorder in this situation by making arrangements to visit on a regular basis or on â€Å"significant anniversaries† such as the death of a spouse or a wedding anniversary. (Nagatomo I et al. 1998) when the risk factors for suicide increase dramatically (Schulberg H C et al. 1998) The literature in this area is quite extensive and covers many of the aspects of suicide in the elderly. It is noticeable however, that there is a great deal of literature on the subject of risk factors and associations of suicide together with plenty of papers which quote statistics that relate the various trends and incidences. There are, by comparison, only a few papers which emphasise and reflect on the positive aspects of nursing care. The positive steps that can be taken by the nursing profession specifically to help to minimise the burden of suicidal morbidity. There is clearly scope for studies in areas such as the impact that a dedicated community nurse might have on the levels of depression in the community if regular visits were timetabled. It is fair to observe that the community mental health nurses fulfil this role to a degree, but are severely hampered in most cases by sheer weight of numbers in the caseload. (Mason T et al. 2003) Having made these observations, we must conclude that there appears to be an overwhelming case for opportunistic screening of the at risk elderly at any point of contact with a healthcare professional. It is part of the professional remit of any nurse to disseminate their specific professional learning with others. (Yura H et al. 1998). This can either be done on an informal professional basis in terms of mentorship or, if appropriate in a lecture or seminar situation. (Hogston, R et al. 2002). There clearly is little merit in critically evalua

Wednesday, November 13, 2019

Civilization: Savagery, Power, Fear :: Free Essay Writer

Civilization: Savagery, Power, Fear Civilization is when man meets his basic needs. Civilization begins to form when man is searching for something more; something better than just meeting his basic needs, for he has already achieved this. Civilization forms slowly and carefully, and once it is formed, it can change and be destroyed at any moment. Civilization is as fragile as an eggshell, and it has three basic forces that can destroy it: savagery, power, and fear. Savagery is when a people revert back to their lost human instincts. Savagery is most often found in situations where the people are under extreme circumstances. One example of this is being stranded on a deserted tropical island. In William Golding's book, Lord of the Flies, he has done just that. Golding had his characters revert back to their lost human instincts. When the boys on the island finally catch a pig and get meat, the one hunter, and main character, Jack, cannot bear to let someone else tell his savage story. He begins, "We spread round. I crept, on hands and knees. The spears fell out because they hadn't barbs on. The pig ran away and made an awful noise-It turned back and ran into the circle, bleeding-We closed in-I cut the pig's throat-" (p. 74-75). Jack has reverted back to savage, uncivilized ways; his civilization has been shattered because of being stranded. Jack even gets the rest of the boys to join in, "As they danced, they sang. `Kill the pig. Cut her throat. Bash her in.'" Savagery can destroy civilization. It only takes a small number, even a single person, to revert back, and everyone will soon follow. Another example of people being savage is in the book, The Pearl, by John Steinbeck. In this book, when a family finds an unbelievably large pearl and tries to better their own lives with it, their friends and neighbors become their enemies, they even begin to fight in their own family. Greed has caused the family and the townsfolk to revert back to being savages. One example of this is when Juana, the wife, tries to rid them of the pearl because she knows of its bad nature. Kino, her husband, catches her, "Her arm was up to throw when he leaped at her arm and wrenched the pearl from her. He struck her in the face with his clenched fist and she fell among the boulders, and

Monday, November 11, 2019

A Day No Pigs Would Die by Robert Newton Peck

Ani Aivazova Ms. Gharibian Literacy for Success 7 December, 2009 A Day No Pigs Would Die The book A Day No Pigs Would Die, by Robert Newton Peck, is a classic novel for young adults that signifies the importance of life, family, and traditions. The author of the book, Robert Peck, who is also the main character in the story, wrote about the hardships and happiness of his life. The book has a lot of lessons and advises from Roberts life experience. Even thought he is just a thirteen year old teenager, he has gone through a lot.The book A Day No Pigs Would Die, by Robert Newton Peck, should not be banned from school because it complements the age of the reader, has important lessons, and is age appropriate. A Day No Pigs Would Die should not be banned from school because it complements the age of the reader. Robert is a thirteen year old teenager who is going through hardships of teenage years. Since the readers of the book are also high school students, it is most likely that they wil l relate to Robs situation. Some of the students may also be going through the same or similar situations.The way Robert takes out of his problems will help the students resolve their own problems. As well as complementing the reader, the book also gives lessons in life. The book A Day No Pigs Would Die should not be banned because it teaches important lessons. Robert has a lot of challenging situations in life. By solving his problems, he gives other teenagers ideas about resolving their problems. For example, when Robert kills pinky he sets and example for every boy out there. Even though Pinky was the only beloved thing he owned, he sacrificed it for his family’s need.Robert did what was necessary, not what he wanted to do. In addition to setting examples, the book should also be kept because it is age appropriate. A Day No Pigs Would Die should not be banned from school because its content is appropriate for any high school student. Some say that the book has too much vio lence, especially in the birth and death of animals. However, that can be interpreted as natural events that happen in everyday life. There is nothing wrong in knowing the surrounding world and how life happens.In the book, the main character Robert tells the story of his life. He shares the happy and the challenging times that he had to go though as a teenager. The book A Day No Pigs Would Die, by Robert Newton Peck, should not be banned from school because it complements the age of the reader, has important lessons, and is age appropriate. The book should not be banned because it does not have a bad influence on the reader. Furthermore reading the book helps some students cope with their own life situations.