Wednesday, May 6, 2020

Sugar Makes Children Hyperactive -Free-Samples-Myassignementhelp

Questions: 1.Has culture influenced the development and persistence of this belief? how? eg what cultural traditions have impacted this belief? 2.Why the health belief exists even when it's not supported by credible evidence? eg how has this believe been perpetrated? Answers: 1.According to the reports published in Loh et al. (2017), intake of sugar does not appear to cast any significant impact on the behaviour of the children. The same results were confirmed by the study conducted by Azadbakht and Esmaillzadeh (2012). According to them, fast food and sweet delivery patterns has no direct association with the attention deficient hyperactive disorder in children. However, the prevailing myth among the parents mostly arises from the fact that sugar is frequently linked as the main attraction in the birthday and Halloween parties. This is because birthday parties are inherently linked with cakes and chocolates whereas Halloween means candies. In this occasion, children are likely to remain hyper active like bouncing off the walls or running as they are in companionship with a group of population belonging to their same age group. However, these manifestations of energetic or hyperactive activities among the children is mostly due the adrenaline rush mediate d via the secretion of adrenaline hormone that they get with the name of the event or occasion and thus does not have any direct connection with the consumption of sugar (LiveScience, 2016). However, according to the latest news published in BBC news (2013), in an attempt to hold calmer and relaxing birthday parties, some parents are now making sugar-free birthday cakes. 2.The ideas of the parents in relation to consumption of sugar and its associated hyperactivity among the children are mostly reinforced via watching the children in those hyperactive circumstances. The misconception generally comes from the idea the increase in the blood sugar levels translate into hyperactive behaviour. It is true that person suffering from low blood sugar level (hypoglycaemia) gets an energy boost upon consumption of glucose (sugar), According to Del Coso et al. (2012), hypoglycaemia results in decrease availability of glucose in the muscle cells and thus resulting in muscle fatigue. In Australia, the majority of the population suffers from diabetes and hence hypoglycaemia arising from sugar restricted diet plan and subsequent generation of muscle fatigue is common. Moreover, in such cases intake of glucose helps in instant recovery. But in case of children, it is completely a different scenario because a healthy child with no significant reports of low blood suga r level cannot develop sudden hyperactivity disorders or hyperactive behaviours under the influence of high sugar consumption (LiveScience, 2016). But such increased prevalence of diabetes among the society has generated perpetration of the myth among the adult population and such that they apply the same concept even in case of children. References Azadbakht, L., Esmaillzadeh, A. (2012). Dietary patterns and attention deficit hyperactivity disorder among Iranian children.Nutrition,28(3), 242-249. BBC News. (2013). Does sugar makes children hyperactive? Accessed on: 20th March 2018. Retrieved from: https://www.bbc.com/future/story/20130722-does-sugar-make-kids-hyperactive Del Coso, J., Gonzalez-Millan, C., Salinero, J. J., Abian-Vicen, J., Soriano, L., Garde, S., Perez-Gonzalez, B. (2012). Muscle damage and its relationship with muscle fatigue during a half-iron triathlon.PloS one,7(8), e43280. Geggel, L., (2016). Does Sugar Make Kids Hyper? LifeScience. Accessed on: 20th March 2018. Retrieved from: https://www.livescience.com/55754-does-sugar-make-kids-hyper.html Loh, P. R., Hayden, G., Vicary, D., Mancini, V., Martin, N., Piek, J. P. (2017). Attention Deficit Hyperactivity Disorder: an Aboriginal perspective on diagnosis and intervention.Journal of Tropical Psychology,7. Ly, T. T., Maahs, D. M., Rewers, A., Dunger, D., Oduwole, A., Jones, T. W. (2014). Assessment and management of hypoglycemia in children and adolescents with diabetes.Pediatr Diabetes,15(Suppl 20), 180-192.

Tuesday, May 5, 2020

Managing in Organization Multinational Companies

Question: Discuss about the Managing in Organization for Multinational Companies. Answer: Turbulence as faced by GM during 2008 to 2013 The year 2008 had marked the bold new beginning for the leading car manufacturing company in the US, General Motors. The year 2008 saw the headquarters of the company to be turning into a museum like aura. In the year 2013, the company was forced to implement massive restructuring processes in its business operations owing to the announcement that it made to cease the manufacturing of cars in Australia by 2017. The company also made a historic announcement of employing the first female CEO in 2013. This marked the evidence of the turbulence that the company faced during the past few years. In 2013, the company revealed the new model in public, which they named as Chevy Volt (Helper Henderson, 2014). The car used petrol generator for assisting its electric drive unit, the launch of which proved to be pivot moment in the history of the company (Jurkovic et al., 2015). GM market share after deciding to cease the manufacturing of cars in Australia 2017 Owing to the smaller market, huge manufacturing costs and limited exports of the cars in Australia, the GM Company has been facing immense business pressure. It is significant to note that the company leader of car manufacturing companies in the US with the current share of 52 percent on the global market (Walker, 2014). However, the companys decision of ceasing the manufacturing of cars in Australia would be affecting its market share; the CEO of the company is of the belief that his team would be developing its trademark innovative strategies. Implications for New Zealand market GM has been manufacturing engines and vehicles in New Zealand since 1926. Thus, with Chevy Volt and a large number of reputed brands including Chevrolet, Saturn, Pontiac and Cadillac, there is every possible reason for the company to succeed in the country (Clibborn, 2012). References Clibborn, S. (2012). Local responses to a global downturn: Labour adjustment in Two Multinational Companies. Journal of Industrial Relations, 54(1), 41-56. Helper, S., Henderson, R. (2014). Management practices, relational contracts, and the decline of General Motors. The Journal of Economic Perspectives, 28(1), 49-72. Jurkovic, S., Rahman, K., Bae, B., Patel, N., Savagian, P. (2015, September). Next generation chevy volt electric machines; design, optimization and control for performance and rare-earth mitigation. In 2015 IEEE Energy Conversion Congress and Exposition (ECCE) (pp. 5219-5226). IEEE. Walker, A. L. (2014). The Martian's Daughter-A Memoir. Research Management Review, 20(1).

Tuesday, April 14, 2020

How to Write a Good Causal Analysis Sample Essay

How to Write a Good Causal Analysis Sample EssayIn order to write a good causal analysis sample essay you must go through the basic steps to get an understanding of how causal analysis works. If you have never used a computer before it can be intimidating and confusing to do so. This article will give you some helpful tips on how to do this.Firstly, what is the difference between causal analysis and statistics? Statistics is the study of patterns. What can statistical inference tell us about these patterns? Causal analysis is the study of causes and effects. The words are similar but can be used to describe different things.How do you learn how to write a causal analysis sample essay? A first step is to understand what these two terms mean. The next step is to learn the differences between using one in your own research or as part of a report.There are a number of things you need to know in order to craft a well-written paper. You should know that causal analysis involves describing a particular thing in order to answer a question. In other words, it is where you answer the question 'why?' What questions can you ask?A good example of a causal analysis is 'How did the growth in urban poverty affect the country's gross domestic product (GDP) during the second half of the twentieth century?' The first question is something like, 'What caused the urban poor to be in poverty?' The second question is: 'What happened to the US economy as a result of the change?'To write a good causal analysis sample essay, you must make sure that you discuss the four different questions in your paper. Make sure that your essay can answer them all correctly, because you can be forgiven for not answering all four of them. Although you may be tempted to skip one of the questions, make sure that you fully consider the others to make sure that you get them all right.Of course, we have a simple definition of what causality means but, when writing a causal analysis sample essay, you will be using terminology that is quite technical. This is why it is very important to learn the different terminologies used in these types of essays. For instance, what is debt?You can find free online help for learning how to use these terminologies. When using the proper terminologies, your essay will flow much smoother. When writing a causal analysis sample essay, make sure that you learn the right terms so that your research is accurate and well-researched.

Monday, April 13, 2020

Pioneer petroleum free essay sample

Pioneer Petroleum was founded in 1924, through a merger within industrial, pipeline transportation, and refining fields. PP has evolved over the last 60 years into a company that now also works with agricultural chemicals, plastics, and real estate development concentrating in gas, oil, petrochemicals, and coal. In 1990, PP improved their coker and sulfur recovery facility to make their refining process more efficient and in turn has become one of the lowest cost refiners on the West Coast. Due to the refining process PP’s gasolines are among the most cleanest-burning in the industry. PP’s is also the producer of one-third of the world’s supply of methyl tertiary butyl ether (MTBE), which is a chemical used to make cleaner burning gasolines. They also produce one third of the world’s supply of MTBE. Major Issues The major issue that PP is facing right now is that the management board of PP is trying to decide whether to use a single cutoff rate or a system of multiple cutoff rates to determine the minimum acceptable rate of return on new capital investments. We will write a custom essay sample on Pioneer petroleum or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page As of right now PP is using one single company-wide cutoff rate that is based on their overall weighted cost of capital. The current single rate system that PP is using has increased their overall risk by causing them to choose investment decisions in divisions with higher risk because they exceed the cutoff hurdle, while not investing in lower risk areas because they do not exceed the hurdle rate. In addition PP has not been calculating their weighted cost of capital correctly. This has caused them to invest in riskier areas rather than those with greater chance of having a positive net present value. PP needs to reevaluate which method to use as well as how to correctly compute WACC. Analysis As stated before PP has been weighing two alternatives options to calculate the minimum acceptable rate of return on their capital investments. As of right now PP’s approach is to accept all proposed investments with a positive net present value, after being discounted at the appropriate rate. The issue with this is that this approach has been reliant on a single company-wide cutoff rate based on PP’s overall WACC that has continuously been calculated incorrectly for each investment decision. PP has been calculating their WACC by three steps: (1) the expected proportions of future funds sources were estimated; (2) costs were assigned to each of the future funds sources; and (3) a WACC was calculated by multiplying the estimated proportions of future funds sources by the estimated future after-tax cost percent. Due to the fact that PP has calculated their WACC this way it has led to their adopted rule that funded debt should represent approximately 50% of total capital. In addition it has led to the cost of equity being 10% with current earnings yield on stock equaling the cost of both new equity and retained earnings for PP. Alternative Options PP has two alternative options to choose from when considering acceptable rates of return on future investments. 1. Single company-wide rate. 2. Multiple cutoff rates based on each economic sector within the company. The multiple rate system will also use WACC approach for each operating sector within the company to determine the individual’s rates for each economic sector within PP. This should allow them to see differences in divisions. Determining Pioneer Petroleum’s Cost of Capital PP has been finding their equity while determining the WACC of capital by using the CAPM formula but has been finding the incorrect equity value. PP has correctly found the cost of debt, but has failed to find the correct cost of equity because they have set their equity’s weight to 10%. In order to determine WACC PP needs to correctly calculate equity, debt, and also the weighted averages of both. Cost of bond after-tax cost Debt KD=Y(1-tax rate), where Y=12% and tax rate=34% (p. 66) KD=12%(1-34%) KD=7. 92% Cost of common equity Ki=Rf+(Rm–Rf)Bi, where Rf=7. 8%, Rm=16. 25% and Bi=0. 8 (p. 68-69) Ki=7. 8%+(16. 25%-7. 8%)0. 8 Ki=14. 56% Weighted average cost of capital Kw=KD(WtD)+Ki(Wti), where WtD=50% and Wti=50% (p. 66) Kw=7. 92%(50%)+14. 56%(50%) Kw=11. 3% Analysis of Alternatives In recalculating PP’s WACC correctly their actual average cost of capital came out to be 11. 3% as opposed to the 9% that PP has calculated. This shows that PP underestimated their WACC by 2. 3% due to the fact that they set equity at 10%. If PP chooses to continue to use their single cutoff rate based on the company’s overall WACC, they will now have a cutoff of 11. 3%. Again, the problem with using the single rate method is that it does not allow use to see, or account for the differences in each division of PP. Another problem with the single cutoff rate is that due to the increased rate PP will invest their funds in higher return projects which will result in higher risk. This risk is a result of only the high-risk divisions being able to exceed the single rate hurdles using the single rate cutoff method. If PP chooses to go with the multiple cutoff rate approach it allows them to create cutoff rates that reflect the risk-profit characteristics of the individual economic sectors in which PP’s subsidiaries operate. In order to do this you need to determine the equity, debt, and WACC of each firm for each sector as opposed to the single cutoff rate. The discount rate will also vary for each project due to the use of different divisions and sectors. A multiple cutoff rate may actually exceed PP’s overall average costs because of the vertically integrated parts involved. In using the multiple cutoff rate approach PP can have cutoff rates that are better tailored to the economic sectors that will allow lower risk divisions to exceed their cutoff rate. This decreases risk for PP by essentially allowing them to diversify their portfolio, or the ‘Portfolio effect’. CONCLUSION Suggested Course of Action The multiple hurdle rates for each division based on the corresponding risk for each division is the suggested course of action for PP. The problem that PP has with using the current single company-wide cutoff rate is that it limits PP to projects that exceed that rate which tend to be more risky. The single rat method ignores differences in each division as well as the different risks of those divisions. This led to a misallocation of funds for each division and also did not allow PP to participate in low risk projects that could have been profitable and made PP more risk averse. Using the multiple cutoff rate approach will diminish the imbalance of divisions over investing in cutoff rates that are too low and divisions under investing in cutoff rates that are too high. In using the multiple cutoff rate approach PP will be able to make better investment decisions based on the NPV of potential investments for each division due to the fact that each division will have their own hurdle rate. Pioneer Petroleum free essay sample Second, PPC has been using a single company-wide rate for their multi-divisional company. In either instance the company is not maximizing wealth. Statement of Facts and Assumptions: PPC has been calculating their after tax cost of debt using the coupon rate of 12% instead of the actual interest rate which is 8%. Taking the 8% interest rate into account, PPC’s actual cost of capital would be calculated as: [. 08(1-. 34)]= 5. 28%. PPC has simply been using 10% (their equity growth rate) as their cost, but must instead either use the CAPM model to calculate their cost of equity, or the Dividend-growth model. If they use the CAPM model, which is the most accurate, their cost of equity will be: . 078+. 8(. 1625-. 078)=14. 56%. Or they can use the Dividend-growth model and their cost of equity would be: (2. 7/63)+. 1=14. 29%. Both are acceptable but, because the Dividend-growth model is subjective, and the coupon rate (that PPC was originally using is a sunk cost, they should use the market rate). We will write a custom essay sample on Pioneer Petroleum or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Thus using the market rate to calculate CAPM you use the Beta and market risk premium which are both based on the market rate and more accurate. Finally, their company WACC of 9% that they have calculated is incorrect and given the above calculations, their WACC using CAPM would be: [5. 28(. 5)+14. 6(. 5)]=9. 94% and their WACC using Dividend-growth would be: [5. 28(. 5)+14. 3(. 5)]=9. 79%. Either way, it is significantly larger than the 9% they had calculated. It should also be stated that PPC would benefit by using the target rate because they are planning longer term into their future. Analysis: Using a single cut-off rate for the entire company has increased the overall risk of their company. The use of an acceptable range based on a company-wide average cost of capital inappropriately leads the company to invest in divisions with high risk that should possibly have a higher required rate of return or to not invest in low risk divisions that would be profitable, merely because they do not exceed the company rate. Thus, using a WACC for each division will more accurately allow the corporation to decide which projects to accept and deny based on the specific risk factors of the section instead of the risk of the entire company which has been skewed because of diversification. Based on my calculations, the company wide WACC and cut off rate that should be used is 9. 94% based on CAPM or 9. 8% based on Dividend-growth, and any projects that are below that percentage should not be accepted for the company as a whole. Recommendations: Overall, I would recommend that PPC recalculate their WACC per each specific division and establish multiple cutoff rates instead of calculating a company wide WACC cutoff rate. This will benefit them the most in accepting and denying projects that will meet the appropriate cutoff rate that each division is susceptible to based off the specific risk each division must overcome. When recalculating their WACC, it would benefit them most to use the CAPM model to determine their cost of equity, but using the Dividend-growth model is also acceptable. To determine the cost of debt, they must remember to use the actual interest rate instead of the coupon rate to determine the after tax cost accurately.

Wednesday, March 11, 2020

Young offenders and the Criminal Justice System

Young offenders and the Criminal Justice System Introduction The human civilization has from ancient times acknowledged the fact that the children are the future of the present civilization. Our modern era also believes in this ideology. This being the case, our society has always strived to ensure that children and the youth are given the best opportunity to excel.Advertising We will write a custom term paper sample on Young offenders and the Criminal Justice System specifically for you for only $16.05 $11/page Learn More However, despite all the good intention of the society, there are still a number of children and youth who continue to be on the wrong side of the law. Cole and Smith note that this increase in juvenile deliquescence is as a result of social, economic and other factors prevalent in this era (13). Policy makes have taken care to ensure that these troubled children are not left behind in the quest for a brighter future for all the children. Measures have been taken to ensure that the trou bled children who are charged with offences are afforded a chance to rectify their mistakes and become respectable citizens through rehabilitation programs. This has been through the implementation of juvenile justice systems which have been characterized by their correctional as opposed to punishment role. Despite the presence of a functional juvenile justice system in the country, there has been a marked increase in crime rates among children and youths. As a result of this rising rates of crime amongst youths, policy makers have pushed for the increased transfer of juvenile offenders to criminal courts for adult prosecution. This is a move that is hailed by some as being the best manner to reduce juvenile crimes and therefore safeguard the society’s peace. However, there are opponents to these waivers who suggest that such moves result in the reduction in chances of rehabilitation for the juvenile offenders. This paper argues that juveniles should not be waived to adult co urts unless they commit heinous crimes such as murder. To reinforce this assertion, this study will perform a critical analysis of the various arguments presented both for and against transferring juveniles to adult courts. A brief overview of the juvenile court system will also be offered to act as a background for the paper. Juvenile justice system The Industrial Revolution of the late 19th century led to a mushrooming of urban settlements and the number of children living in cities rapidly increased (Sims and Preston 46). Juvenile delinquency became an issue in many cities and the welfare of the urban children became a primary concern. The introduction of a separate system of justice for children borrowed heavily from the ideas proposed by the 18th Century English lawyer, William Blackstone (Yeckel 331).Advertising Looking for term paper on criminology? Let's see if we can help you! Get your first paper with 15% OFF Learn More Blackstone aimed at categoriz ing people based on their ages and thus drawing a line between the age where one could be held accountable for their actions and an age where one was absolved from any crime committed. To a large extent, the earlier advocates of juvenile systems considered themselves to be on a humanitarian mission championing the rights of the children. The major difference between the juvenile justice system and the criminal justice system was that juvenile courts aimed to rehabilitate rather than punish. Core to the courts principles was the mission to help troubled children. This benevolent nature of the system led to an informal and non adversarial approach that was not entangled in the procedural rules and formalities that characterized the criminal court systems. Sim and Preston assert that this open nature was all in line with the ultimate goal of the courts which was to guide the young offender towards life as a responsible and law-abiding adult (48). The lack of well defined procedures mea nt that the juvenile court could take extra-legal factors in deciding on how to handle a case. The primary argument by the proponents of automatic judicial waiver of juvenile court jurisdiction is as a result of the increased juvenile crime and violence. While it is true that juvenile crimes are markedly higher that they were in the previous decades, the same can be said about adult crimes. Allard and Young assert that there is no evidence that young people have become disproportionately more crime prone or dangerous at that than the rest of the population (8). Arguably, the alleged increase in juvenile crime is simply a function of population growth which is not only natural but to be expected. Allard and Young go on to demonstrate that the juvenile arrests for serious violent crimes have remained fairly average over the last 30 years (7). The underlying philosophy behind transferring juveniles to the criminal justice system is that more severe punishment even if at the expense of rehabilitation will result in reduced crime rates and therefore increase the public safety. However, studies indicate that juvenile offenders in the adult system are more likely to re-offend or commit more serious subsequent offenses than those who remain in the juvenile system (Allard Young 4). Youths and young offenders should not be prosecuted through the criminal justice system unless they commit major crimes such as murder. Instead they should be prosecuted through the juvenile justice system.Advertising We will write a custom term paper sample on Young offenders and the Criminal Justice System specifically for you for only $16.05 $11/page Learn More This is attributed to the fact that juvenile courts are predisposed to have the best interest of the children or youths in consideration and offer some form of defense and rehabilitation for the children in juvenile facilities. As such, the underlying goal of the juvenile system is to guide the young offe nder towards life as a responsible and law-abiding adult (Sim and Preston 56). The arguments on juveniles raised by policy markers in the late 1800s resulted in a consensus that juveniles were developmentally inferior compared to adults and as such, juveniles would no longer be held criminally responsible for their actions (Feld 19; Bakken 14). However, while this attribute of benevolence is hailed by many proponents of the juvenile system, these benign actions have resulted in the lack of accountability for their actions by the youths. Waivers can offset this condition since as Feld comments: The rehabilitative ideal has minimized the significance of the offenses as a dispositional criterion. The emphasis on the best interests of the child has weakened the connection between what a person does and the consequences of that act on the theory that the act is at best only symptomatic of real needs. (Bakken 13). This argument suggests that the treatment of youths in the juvenile system does not lead to the offender feeling accountable for his/her crimes therefore resulting in a lack of liability. This is as opposed to the adult system in which one is held accountable for their crimes and made to pay for them to the maximum extent permissible by the law. In addition, proponents of the waiver to prosecute the youth in the criminal justice system assert that one of the goals for transferring juvenile offenders to the adult criminal courts is to deter them from taking part in criminal activities in future. However, a research carried out by Donna Bishop in 1996 to highlight the differences in outcomes of juvenile courts compared to the criminal courts on youths showed that juvenile offenders who were transferred to the adult courts received more severe sentences than their counterparts in the juvenile system. In addition to this, the findings showed that the transferred youth had higher re-arrest rates (54%) compared with 32% for the youths dealt with by the juvenile courts ( Rosenheim 87).Advertising Looking for term paper on criminology? Let's see if we can help you! Get your first paper with 15% OFF Learn More In light of such findings, advocates of the juvenile court systems argue that the taking up of waiving as a means to reduce future crimes is a faulty policy. While the juvenile system may not be flawless, these findings demonstrate that the system has not altogether failed and should therefore be experimented with further. To further reinforce this argument, Watt, Howells and Delfabbro use Sigmund Freud’s psychoanalytic theory to explain why individuals commit crimes (150). In this theory, Freud believes that all humans have underlying desires. As such, it is only through socialization that these urges can be controlled. Therefore, a person with poor social skills develops a personality disorder which forces him/her to exhibit antisocial tendencies. Those that bring out these tendencies become criminals while those who suppress them become neurotics. This theory is therefore a proponent to the fact that criminals are social misfits trying to compensate for their weaknesses. B earing this in mind, taking young offenders through the criminal justice system does not help them change but instead, makes them more antisocial thereby increasing their chances of committing more serious offences. As Fisher reiterates, the acts of violence exhibited by youths and young offenders are triggered by their need to empower themselves in a society that constantly undermines them (109). Therefore, the solution should not be prosecuting them but rather, to find solutions to factors that lead them into committing crime. To further support his argument as a proponent of youth prosecutions in the criminal justice system, Bakken states that juveniles are capable of hideous crimes as was demonstrated in the Kent v. United States case. A 16 year old, Morris A. Kent was charged with breaking into a womans apartment, robbing her and raping her (6). The juvenile court system is evidently not equipped to deal with such kind of violent crimes as its sentencing does not include life i mprisonment or even the death penalty. Bakken acknowledges that it is cases such as this that make juvenile transfer not only desirable but necessary so as to enable the offender to be tried on criminal charges (7). The waiving system presents a mode through which these malicious offenders can be kept away from the society therefore preserving social harmony. Without waivers, crimes such as those committed by Kent would only be punished marginally and the offender would be free to rejoin the society after only a few years of incarceration. However, Watt, Howells and Delfabbro disagree with this argument by using the interactionist theory of crime causation which asserts that an individual’s interaction with criminals may psychologically influence him/her to commit crime (147). The theory proposes that the chances of an individual committing crime as a result of peer pressure are significantly high. According to Fisher, constant interactions with criminals play a central role in the development of criminal behaviors (105). The author states that from these associations, individuals are influenced into committing crime and becoming notorious criminals. This theory proposes that a petty offender can become a hardcore criminal through the association with criminals. It assumes that from such interactions, an individual learns how to think, act and react to different situations like a criminal. As such, imprisoning young offenders may invariably make them worse than they were before getting into the system. To this regard, Watt Howells Delfabbro propose a more positive approach whereby young petty offenders are enrolled in the juvenile justice system where there are positive reinforcement programs that may help them change their behaviors (143). However, Gaines and Miller argue that criminal convictions carry with them a certain stigma as a person is marked as a felon for the rest of their lives (62). The authors suggest that this stigmatization by the soci ety is in fact healthy as it also adds to the deterrence factor since people do not want to be viewed as social misfits. The juvenile court system is structured in such a way that these long-term consequences to the offender are not present. In as much as this statement holds true, adult conviction also results in some socioeconomic consequences such as the person being compelled to report their conviction on job application or being barred from particular types of jobs. These factors have serious psychological effects on an individual. For example, no matter how much an individual is trying to change his/her ways, the criminal records and the social limitations associated with them will never go away. As such, these realities often foster feelings of frustration and other antisocial tendencies. These are key factors that may lead an individual into causing crime as a means of acting-out. These bleak realities further support the statement that youth offenders should not be go throu gh the criminal justice system and that other alternatives should be found. The rationale behind the establishment of the juvenile system was to protect the interests of the children who were deemed as being less liable than adults since they were morally and emotionally less developed (Rosenheim 91). This almost paternal view is the main difference between juvenile courts and criminal courts whereby the juvenile courts emphasis on the best interests of the violators. By indiscriminately waiving juvenile offenders to the adult court system, the criminal justice system will have failed in its initial goal which was to protect the interest of young offenders and hopefully rehabilitate them into useful members of the society. However, it can be argued that the juvenile system was established in an era when the capability and emotional intelligence of the youth developed at a fairly slower pace. In the modern era, children are exposed to all kinds of information which result in greater understanding. As such, the laws should be amended to accommodate these new realities. Conclusion This study set out to argue that juveniles should not be waived to adult courts. To underscore this point, the paper has performed a brief overview of the juvenile system in America as well as an in-depth analysis of the arguments forwarded both for and against waivers. However, this paper has clearly demonstrated that there are other means through with juvenile criminality can be tackled. Considering the risk that waivers could results in the conversion of juvenile offenders into hardcore criminals, the evidence in this paper suggests that more intervention-based measures should be implemented to ensure that young offenders do not get into the criminal justice system unless they commit heinous crimes. Allard, Patricia and Malcolm Young. Prosecuting Juveniles in Adult Court: Perspectives for Policymakers and Practitioners, 2002. Web. njjn.org/ Bakken, Nicholas. (2007). You do the Crime , You do the Time: A Socio-Legal History of the Juvenile Court and Transfer Waivers, 2002. Web. Burrow, John. (2005). Punishing Serious Juvenile Offenders: A Case Study of Michigans Prosecutorial Waiver Status, 2002. Web. https://jjlp.law.ucdavis.edu/archives/vol-9-no-1/01_Burrow.pdf Cole, George and Cristopher Smith. The American System of Criminal Justice. New York : Cengage Learning, 2006. Print. Fisher, Bonnie. â€Å"Crime Prevention.† Journal of Security Education 2.1 (2006): 103 – 111. Print. Gaines, Larry and Roger Miller. Criminal Justice in Action. New York: Cengage Learning, 2006. Print. Rosenheim, Margaret. A Century of Juvenile Justice. Chicago: University of Chicago Press, 2002. Print. Sims, Barbara and Pamela Preston. Handbook of Juvenile Justice: Theory and Practice. California: CRC Press, 2006. Print. Watt, Bruce, Kevin Howells and Paul Delfabbro. (2004). â€Å"Juvenile Recidivism: Criminal Propensity, Social Control and Social Learning Theories.† Psychiatry, Psychology and Law 11.1 (2004): 141 – 153. Print. Yeckel, Josef. â€Å"Violent Juvenile Offenders: Rethinking Federal Intervention in Juvenile Justice.† Journal of Urban and Contemporary Law 51 (1997): 331. Print.

Monday, February 24, 2020

Ameican wilderness Essay Example | Topics and Well Written Essays - 1000 words

Ameican wilderness - Essay Example In the given paper will discuss the records of the two governors of early American colonies. William Bradford (1590-1657) is known as an American colonial ruler and a Pilgrim head. He became famous due to great number of facts. The most important achievements of Bradford are the foundation of Plymouth Colony and the establishing peaceful relations with Native Americans (Perkins, 2006). The record of William Bradford tells us about the Pilgrims’ arrival in 1620: â€Å"being thus arrived in a good harbor and brought safe to land, they fell upon their knees & blessed ye God of heaven, who had brought them over ye vast & furious ocean, and delivered them from all ye perils & miseries thereof, again to set their feet on ye firmer and stable earth, their proper element† (Bradford (Edited by Samuel Eliot Morison, 1967) Their primary goal was to find a place where they would become independent in their religious belief. Pilgrims considered Virginia to be a right place for them. However, they arrived in the place where there was no government, so they had to form it. M ayflower Compact, a document created by Pilgrims, became a record of the new laws and William Bradford was appointed as a leader. From the Bradford’s record we find out that the new conditions differed much from the life the Pilgrims got used to. It was very difficult for people to survive the first winter, which was extremely cold. Bradford understood that the help of Native Americans was essential, so he established the agreement with the Wamponoag tribe head. This tribe was one of the friendly tribes, which helped new Americans adopt to the new life. Bradford was the organizer of the first Thanksgiving Day held in order to thank Native Americans for their help. Bradford wrote in his records, that â€Å"†¦and no marvel if they were thus joyful, seeing wise  Seneca  was so affected with sailing a few miles on ye coast of his own  Italy; as he affirmed, that he had rather

Friday, February 7, 2020

Sprung rhythm in The Windhover by Gerard Manley Hopkins Essay

Sprung rhythm in The Windhover by Gerard Manley Hopkins - Essay Example At first glance the structure can seem confusing with the sentences half finished and the verbs, adjectives, and nouns all mixed together without flow. However, this is part of Hopkins’s skill by being â€Å"fully in control of the energies of his sprung rhythm† (Rumens 2011). Carol Rumens sees this rhythm as allowing the poet to set the words â€Å"soaring across the first seven lines of the octet† (2011). Also, all the â€Å"ing† endings in the first eight lines act to unify and tie together the first stanza; just like the way the bird is inseparable from itself and its action so too are the words from their lines. For example, the bird is perfectly absorbed and engrossed in its act of â€Å"riding Of the rolling level underneath him steady air† (Hopkins lines 2-3). It merges and becomes one with the wind, just like all the different words fuse together and become one with the rhythm of the sonnet. Sprung rhythm also charges the lines with verbs t rying to capture the intensity of the bird’s actions. It gives the sentences a controlled speed, highlighting the way the bird pauses and abruptly springs into action.