Wednesday, July 31, 2019

Fiscal Federalism in Nigeria Essay

The question of an acceptable formula for revenue sharing among the component tiers of the Nigerian nation is one of the most protracted and controversial debates in the political and macroeconomic management of the economy. This debate has its foundations in the history and evolution of the Nigerian federation. â€Å"Revenue allocation or the statutory distribution of revenue from the Federation Account among the different levels of government has been one of the most contentious and controversial issues in the nation’s political life. So contentious has the matter been that none of the formulae evolved at various times by a commission or by decree under different regimes since 1964 has gained general acceptability among the component units of the country. Indeed, the issue, like a recurring decimal, has painfully remained the first problem that nearly every incoming regime has had to grapple with since independence. In the process, as many as thirteen different attempts have been made in devising an acceptable revenue allocation formula, each of which is more remembered for the controversies it generated than issues settled† Fiscal federalism refers to the scope and structure of the tiers of government responsibilities and functions as well as the allocation of resources among the tiers of government. Perhaps the most important issue of fiscal federalism is the revenue allocation formula, the sharing of national revenue among the various tiers of government (vertical revenue sharing) as well as the distribution of revenue among the state governments (that is, horizontal revenue allocation). The centralization of Nigeria’s fiscal federalism began with the report of the Dina Commission (1968) which argued that an appropriate revenue allocation system should result in a more equitable distribution of revenue among the states to achieve a balanced development of the federation. Revenue allocation can be described as a method(s) of sharing the centrally generated revenue among the different tiers of government and how the amount allocated to a particular tier is shared among its components. Nigeria is a federal state – under the federal system of government, federation or centrally-generated revenue is shared among the three levels of government, namely; the federal government, the states and the local governments. The theory of revenue sharing in a federal state is that each level of government receives an allocation of financial resources tailored to their specific requirements as defined by the mandate of legislative competence, their actual situation and the statutory indices of calculation. In Nigeria, decisions as to what proportion of centrally-generated revenue that would be retained by the federal government, the proportion that will be shared among the state governments and the proportion that will go to the local government has always been a problem, due to the fact that there is no consensus of opinion as to what could be seen as an ideal formula. The principles that guide the implementation of intergovernmental fiscal relations include: (a) The Principle of Diversity: The federal system must have the ability to accommodate a large variety of diversities. Hence, the fiscal system must provide scope for variety and differences to supply national, regional and local public goods. (b) The Principle of Equivalence: Based on the geographical incidence of different public goods, allocative efficiency requires the equalization of locational advantages arising from inter-jurisdictional differences with a combination of taxes and public goods and services. This requires the use of fiscal instruments for achieving macroeconomic objectives of growth, stabilization and full employment by residents of different geopolitical units; this requirement controls for what is often referred to as â€Å"central city exploitation thesis†. (d) Minimum Provision of Essential Goods and Services: This ensures that fiscal federalism guarantees all citizens, irrespective of where they reside, the minimum provision of ertain basic public goods and services. (e) Principle of Fiscal Equalization: In order to ensure a minimum level of public goods and services same degree of fiscal equalization is required. This is as a result of differences in resource endowment. (f) The Efficiency Principle: This principle implies that efficiency must be applied in the allocation of resources (g) The Principle of Derivation: The component units of a system should be able to control some of its own resources as they desire. h) The Principle of Locational Neutrality: Interregional fiscal differences tend to influence location choices of individuals and firms. Therefore, policy should focus on minimizing distortions due to some interference. Hence, differential taxes which create locational distortions should be avoided as much as practicable. (i) The Principle of Centralized Redistribution: This principle states that the redistribution function of fiscal policy through progressive taxation and expenditure programmes should be centralized at the federal level. That is, if the redistributive function is decentralized, it can result in distortions in location decisions. It should be noted that the above principles are not mutually consistent. There are several challenges and contending issues confronting intergovernmental fiscal relations in Nigeria: 1) Non – Correspondence Problem Ideally, each level of government should be given adequate resources to allow it discharge its responsibilities. Because this is not possible, there is usually a lack of correspondence between the spending responsibilities and the tax powers/revenue sources assigned to different levels of government. It is this incongruence that is often referred to as the non-correspondence problem. In Nigeria, most of the major sources of revenue come under the jurisdiction of the federal government yet lower levels of government are supposed to generate internal revenue. There is, therefore, the need to resolve the imbalance between assigned functions and tax powers. The issues concerning fiscal relations among the constituent units of the Nigerian federation that remain mostly unresolved are the divergence between assigned functions and tax powers, principle of horizontal and vertical revenue allocation, dependence of states and local governments on federal sources of funding, tendency towards concentration and federal presence in the states (Fadahunsi, 1998). The five principles currently applied in the horizontal revenue allocation formula are far from acceptable to all the stakeholders. 2) Fiscal Autonomy and Independence The issue of relative fiscal autonomy and independence of the state and local governments in a true federal structure goes with the corollary issue of the correspondence of governmental functions and revenue sources. Since the creation of the twelve-state structure in 1967, states and local governments have been excessively dependent on the Federation Account. This independence must be reduced if the federating units are to be free to pursue their own development goals without being hampered by the unpredictable fluctuations in their shares of the Federation Account. It is important that revenue sources should be reallocated and made compatible with the fluctuations stated for each tier of government to enhance steady and proper funding of administrative and developmental activities instead of the often experienced unexpected financial constrictions at the two lower tiers of government. 3) Oil Producing States, Oil Producing Local Government Administrative Areas or Communities Professor Omo Omoruyi in his treatise â€Å"the Politics of Oil: who owns the oil, Nigeria, states or communities† (2000) raised three salient questions on true ownership of oil in Nigeria. The question of local control over local resources is an established constitutional principle in federal systems. But the way the Nigerian federal system developed under the external colonial order (1954-60) and continued under the period of geo-ethno-military internal colonial order (1960-1999) and in the democratic dispensation between 1999 to date is yet an unresolved contending issues in the discourse about Nigeria’s federalism. He challenged the â€Å"Tripod† approach to Nigeria’s problem where the three major ethnic nationalities decide the content and the trend of national issues. This tripod approach to Nigerian politics, should have been done away with by now, with the introduction of the notion of ‘federal character’, which takes states in the federation as the units of representation. The tripod approach to Nigerian politics applies to how the oil, which comes from the non-majority areas, is approached in the political and economic discourse. We should also be aware of the feeling among the majority ethnic nationalities that the areas producing oil by virtue of powerlessness in the military and politics should not be allowed to lay claim to the oil from their areas as of right†. However, theres a distinction between oil producing communities and oil producing states. This is the basis of the activities of the Traditional Rulers of the Producing Communities who are dealing with the President and want the money due to states on the basis of the 13% derivation in the Constitution should be paid to the â€Å"oil producing communities/local government areas†. The Traditional Rulers’ argument is that â€Å"communities† own oil and not â€Å"states†. This is an unresolved issue and separates the communities in riverside areas directly affected by oil spillages from their compatriots in landed areas from enjoying the full benefits of allocations to producing states. One does not know the end of this argument. How should the National Assembly address this matter? The federal government should find a way of making the oil producing local government administrative areas as shareholders in the joint venture arrangements with the oil companies, thus making them stakeholders in the oil industry. There was the issue of who should be spending the oil money. Should it be the Nigerian government in conjunction with the oil producing areas? Should it be the oil producing areas alone? The Constitution from 1960 till after the civil war up till 1978 gave the right of ownership to the federal government but the proceeds were shared between the federal government and the regions or states on the basis of derivation like the agricultural crops. 4) Federation Account and the Derivation Fund It is important to define what constitutes the Federation Account – to which the various vertical revenue allocation formulae have been applied and what should be directly financed from it. Up to 1990, the amount accruing yearly to the Federation Account was still over 96% of totally federally collected revenue; but since 1991, when it first dropped to about 75% and nose-dived to around 35% by 1997, it showed no sign of recovery (Olowononi, 1999). It is therefore clear, that in such a situation, whatever the vertical formula applicable, there must still be a serious fiscal imbalance between the ederal government and the two lower tiers of government. It is crucial to redress this revenue imbalance in the spirit of balanced true federalism. What appears to account for this imbalance is the assertion of the self-claimed right by the federal government to finance various first-line charges from the Federation Account before the application of the vertical formula. The first-line charges include funding for external debt service, national priority projects, NNPC priority projects, special reserve account, and excess proceeds of the crude oil sales account, and in addition, the joint venture cash calls account. These deductions are made from the proceeds of crude oil sales before the derivation fund in the Federation Account is arrived at, and after which further deductions for special funds and the funding of the federal capital territory are made. It will seem more logical, with the exception of the joint venture case calls, that these various charges which are federal government obligations be financed solely from the federal government’s revenue proper, that is, from its share of the Federation Account or from its revenue from other sources. Therefore, in order to determine what constitutes the derivation fund, resolving the issue of the Federation Account is crucial. Thereafter, the derivation formula to be utilized can be arrived at. 5) Oil – Producing Areas and the Derivation Principle The crude oil production has been the most important economic activity in the Nigerian economy since the early 1970s is not subject to debate. Its impact is not limited to its contributing almost 90% of Nigeria’s total foreign exchange earnings but also to the fact that the national budgets are predicated on the expected annual production and price of crude oil.

Tuesday, July 30, 2019

Rrl of Marketing Information System

REVIEW OF RELATED LITERATURE A marketing information system (MIS) is a set of procedures and methods designed to generate, analyze, disseminate, and store anticipated marketing decision information on a regular, continuous basis. An information system can be used operationally, managerially, and strategically for several aspects of marketing. A marketing information system can be used operationally, managerially, and strategically for several aspects of marketing.The first definition of marketing information systems was presented by Cox and Good (1967) who referred to them as a group of procedures and methods for the planned analysis and the presentation of information to be used in marketing decision making. Later, this definition was extended by several authors such as Brien and Stafford (1968), Proctor (1991), Talvinen (1995), Burns and Bush (1995), and Kotler (1991, 2003), among others.Thus, Proctor (1991) defined the MKIS as a system that examines and collects data from the envi ronment; that uses data for the operations and transactions within the company, and that filters, organizes, and selects data to present them for business purposes. According to Kotler (2003) and Bums and Bush (1995) defined the MKIS as a consistent system of people, equipment, and procedures to gather, classify, analyze, evaluate, and distribute the necessary, timely, and precise information needed for decision making.For Talvinen (1995), the marketing information systems are a fundamental part of the company information systems portfolio that aids the direction of the managerial process, especially the marketing process. Jobber (2007) defines it as a â€Å"system in which marketing data is formally gathered, stored, analyzed and distributed to managers in accordance with their informational needs on a regular basis. † Kotler, et al. (2006) define it more broadly as â€Å"people, equipment, and procedures to gather, sort, analyze, evaluate, and distribute needed, timely, an d accurate information to marketing decision makers. A formal MkIS can be of great benefit to any organization whether profit making or nonprofit making, no matter what its size or the level of managerial finesse. It is true today that in many organization an MkIS is integrated as part of a computerized system. To manage a business well is to manage its future and this means that management of information, in the form of a companywide â€Å"Management Information System† (MUS) of which the MkIS is an integral part, is an indispensable resource to be carefully managed just like any other resource that the organization may have e. . human resources, productive resources, transport resources and financial resources. Marketing information systems (MKIS) must play a different role from the roles they traditionally performed; that is, they need roles that may guide and support the decisions made at the corporate, functional, and operational levels. Previous research on the applicat ion of the MKIS shows that they have been applied mainly to the routine function of marketing rather than the strategic function (Xianzhong, 1999).Frequently, organizations have utilized these information systems to support the competitive analysis that they themselves conduct and to find out the market conditions, however, they have not developed research that may support the formulation of strategies, or such development has been nonexistent (Main & Marone, 2002). According Zabriskie and Huellmantel (1994) have pointed out that providing competitive information to formulate strategies is the responsibility of the marketing director, with the support of the marketing research department.However, conceptual and empirical research on marketing information systems has given little attention to the type of information that those in charge of making decisions may consider useful for the performance of their marketing tasks (Ashill & Jobber, 2002). According to Proctor (1991), there is a lot of information, but not of the correct type, and much error; that is, such information is more focused on the operational rather than on the strategic function.Nevertheless, it is necessary to take into account that the utilization of the MKIS is crucial for the success of an organization and should be an integral part of the strategic planning process (Amaravadi, 1995) since the marketing data base is a vital element for the strategic planning of many companies and often presents challenges in terms of management, marketing and sales (Stone & Shaw, 1987). In the latter half of the 20th century, several authors such as Cox and Good (1967), Kotler (1991, 2003), Proctor (1991), and Talvinen (1995), among others, have presented models for marketing information systems.Bums and Bush (1995) presented a classification of the marketing information systems similar to that of Kotler's (2003) through a model in which there is an interrelationship between the environment and the MKIS and among these and the managing directors. Talvinen (1995) classified the models presented in two groups determined by the managerial position and the operational-tactical function of those who make the decisions.In the first group, the basic classifying models of all the authors are presented, and the users are likely to be the senior executives, business strategy units, directors, marketing analysts, and experts. In the second group, the model of Moriarty and Swartz (1989) is found, and its users are likely to be the mid-level executives and sales operations personnel. According to Ansoff, Declerck, and Hayes (1990), the strategic level of a company is in continuous contact with the organizational environment; for Mintzberg and Quinn (1993), strategy is defined in terms of the four p's: plan, pattern, position, and perspective.Finally, according to Thompson, Strickland, and Gamble (2005), the strategy consists of business competitive movements and approaches that the directing manage rs employ in order to attract and please clients, compete successfully, make the business grow, conduct operations, and reach set goals. At the turn of the 21st century, researchers paid increased interest in the marketing information systems that are required by those in charge of making decisions (Amaravadi, 1995; Ashill & Jobber, 2002; Talvinen, 1995).However, little has been studied regarding the marketing information systems and the formulation of strategies at different levels. Research studies have centered upon general aspects of the formulation process and strategy implementation (Ashill, Frederikson, & Davies, 2003; McCarthy & Leavy, 2000; Varadarajan & Jayachandran, 1999; White, Conant, & Echambadi, 2003) rather than on specific aspects such as the information systems that the organizations require in order to formulate strategies (Proctor, 1991).However, it is necessary to consider that organizations operate at three levels (corporate, business unit, and functional or op erational) and reflect, at the same time, three strategy levels (corporate, business unit, and functional or operational). The MKIS range from the strategic to the operational level and require a different type of information on marketing at each level.This distinction of levels has prompted some authors to study the MKIS and strategy levels (Hair, Bush, & Ortinau, 2003; Talvinen, 1995), as well as the MKIS required at each strategy level (Talvinen, 1995), but the type of marketing information required at each strategy level and for each MKIS has not been studied. Like the application of the marketing activities, the application of the MKIS has also concentrated on the area of productivity and sales administration more than on the strategic area (Hewson & Hewson, 1994; Wilson & McDonald, 1994).Even though some businesses have used these systems at the strategic level, their use still concentrates on the marketing functions related to the client, such as, for example, direct sales (X ianzhong, 1999). In the face of the existing gap in the literature, and, above all, because there is no classification of the MKIS by strategy level, the information that the managing directors require at each level was classified for each MKIS taking into account the definitions that these systems present (Burns & Bush, 1995; Kotler, 2003; Talvinen, 1995).

Monday, July 29, 2019

Lesson plan Assignment Example | Topics and Well Written Essays - 250 words - 1

Lesson plan - Assignment Example The main aim of the lesson plan in differentiation is show how students lean and how they display their learning to meet the specific goals, objectives and needs. iPad has been used in the preparation of lesson plans in story robe. The iPad is also used as a material or resource in teaching story robe. In the lesson plan, the instructor should state the objectives of the lesson. The instructor should also state how the tool will see to the implementation of these stated lesson objectives. Other resources apart from the iPad should be stated to help in the achievement of the objectives (Moll, 2003). The instructor should also show how the students used the tool, how they responded to the tool, whether he or she had any sample or material already developed to guide the students. The tool will be helpful in the lesson plan as it will help the instructor in the creation of creative apps for the story robe

Sunday, July 28, 2019

Concept development Research Paper Example | Topics and Well Written Essays - 1250 words

Concept development - Research Paper Example I work in the ICU, where I am responsible for critically ill patients. Specifically, I am in charge of those who need artificial ventilation. I am to ensure the patients get better, and not contracting more diseases in the course of their admission in the ICU. One of the most dangerous risks that ICU patients on artificial air are exposed to is the Ventilator-Associated Pneumonia (VAP). Its prevention involves a 5-steps process, called the VAP bundle. Of the five steps, interruption of the sedation to introduce extubation to the patient is the most critical step, also called, â€Å"weaning from mechanical ventilation.† Previously, the physicians attending to patients in critical situations attempted to reduce the length of time of mechanical ventilation by manipulating ventilator modes and gradually decreasing the ventilator support. Nonetheless, research today has shown that sedation can have a bigger impact on the length of time of mechanical ventilation, and other patient o utcomes than can manipulating ventilator modes (Eber, Laximinarayan, Perencevich, Malani, 2010). Patients respond differently to sedation, depending on their ability to cope. One major incidence that comes to my mind when sedation is mentioned is one I experienced with a post renal transplant patient, who was admitted to the ICU for 12 hours’ observation. ... After successful surgery, the patient was put on mechanical ventilation and later sedated so that she does not fight the mechanical ventilation equipment. After she stabilized, the weaning process from mechanical ventilation took effect. This is in accordance with the VAP bundle protocol of preventing the occurrence of VAP. On receiving the physician’s order, I adhered by holding the sedation to assess if the patient was ready for extubation. However, after successful extubation, the patient grew violent. She felt this was a mean act as it dehumanized her. My attempts to explain the importance of the process were not welcome by the patient, as she could not understand. The Phenomenon of Interest The phenomenon of interest related to my story and her first action after weaning her from mechanical ventilator, is best described as â€Å"Waking up to breath.† This was termed during a discussion with my colleagues while doing our assignment for statistics course. We stopped for a while and discussed our concept development. Thus, each one of us presented her story and then we helped each other the come up with a concept. The phenomenon exhibits the high level of patient’s anxiety. Theoretical Lens for Viewing the Phenomenon The theoretical lens used to view this phenomenon shapes the meaning of this phenomenon. The phenomenon in this research is ‘waking up to breath,† which is accompanied with patient anxiety. This describes reactions of patient after she was weaned from the mechanical ventilator. She reacted rather violently. Various theories can be used to bring this phenomenon into perspective. However, I choose to choose one of the middle range theories. The theory of self-efficacy is one that will bring a deeper meaning and understanding to this phenomenon. In

Analysis movie Mr. and Mrs. Smith Essay Example | Topics and Well Written Essays - 1750 words

Analysis movie Mr. and Mrs. Smith - Essay Example The two-hour movie depicts a modern setting. The lifestyles of the character and the type of guns used by both the couple and the attackers suggest the movie was set to represent 21st-century technology. The gunfire and destruction of properties by couples and the attackers create an illusion that presents the movie as being based on future technologies. The intelligent couples represent the ideas of the movie writers. The movie is then divided into three sections. Jane and John are used to highlighting the three sections. Romance, revenge and reverse attacks are the three parts describing the movie. The movie is able to unite the three components and suggest use of high technology in both the house settings and the outdoor setting. The indoor setting targets romance and suspicion while the external setting indicates clam and waves of attacks from previous employees. The director fails to address the Space factor as a larger amount of time is allocated to John and Jane setting with f lashback being ignored (Liman, 2005). Acting and Drama The movie depicts sexual scenes and many scenes of violence. The couples (John and Jane) are the only characters in the movie that exhibits romance. The onset actors tend to force more on violence rather than the diversity of the film. The couple begins and ends with romance. In an effort to break the monotony, the film takes a twist and allows elements of violence and suspicion. The actor presents a fictional story and action thus lacking realism.

Saturday, July 27, 2019

A Gentleman in Haggard's Time Research Paper Example | Topics and Well Written Essays - 750 words

A Gentleman in Haggard's Time - Research Paper Example The description of a gentleman in Haggard’s volume, King Solomon’s Mines is amongst the most prominent themes that this volume intends to explore. The volume’s setting is during an epoch when the British dominion was enlarging across the earth.Haggard’s ideologies of a gentleman are vital in that they contrast the notions of sex, in the appearance of a woman’s power and race in the shape of the archaic versus the civilized male. These assertions of maleness comprise ideologies of how imperialism and the British dominion were described as a stringently male scope, a field overpowered and regulated by a patriarchy of authority. A description of maleness is extremely intricate identify since it transforms with time. A trait such as strength, are usually interrelated with maleness, is not necessary in a community that does not need all men to be fighters, but it is still a significant male attribute. A conventionally feminine trait such as sentimentalit y has nowadays transformed into a crucial characteristic of a well rounded male, and it displays a reassurance in one’s sexuality. This implies that any description should consider divergence in culture and the epoch. During the epoch when Haggard was writing his dissertation, it was a period of quick transformation of ideologies of the requirements for manliness. At this epoch, there was a conflict between theoretical and corporeal facets of maleness identity. There were two features to maleness. Firstly, there was the notion of strength, bold, and prepared to die in combat and secondly, that of a reasonable man who is not reckless or erratic in his mannerisms. The lack of females in the volume is evident when the storyteller asserts in the beginning chapter that there would be no petticoat in the entire narration. However, there are two women in the volume Foulata as well as Gagool. The former is a primitive, barren African while the latter is elderly and hence cannot be we dded. Therefore, these two individuals are depicted as insignificant characters in the volume. Nonetheless, they are critical is the comprehension of Haggard’s viewpoint of manliness. Gagool occupies a rank of exceptional authority considering her gender. She is distant from the urbane, white Englishmen. This is the most disintegrated of personalities and her description is that of an animal, a withered monkey. However, this character sustains supremacy of fear over the men in the volume. She is also the only character with the right of entry into the fortune of the mines. Manliness of the three males in the volume reassurance occurs with Gagool’s ruin, and the intimidation of new female is effectively crashed. This dominance of males is emphasized in a staunch demeanour, which serves to praise other such occurrences in the volume. Moreover, the description of an idyllic gentleman there is an aspect of capability to explore females. The depiction of this is in the expl oration of the virgin land of Africa. The whole narration is an adventure in attempting to penetrate and domesticate the female land. The maleness of English gentlemen is, hence, under threat and must be claimed, usually violently, so as to recover supremacy over women. This occurs numerously in the narration. The male champions survive at the end of the volume only after a struggle with the land which comprises a death confronting battle throughout the wilderness. They also conquer those generated by the land, the natives Kukuanas. It is through the depiction of this Victorian masculinity that Curtis, Good as well as Quartermain triumph over the womanly territory. They display strength and courage in the slaughtering of enormous animals. They also depict fortitude and

Friday, July 26, 2019

The notion of Peace Essay Example | Topics and Well Written Essays - 750 words

The notion of Peace - Essay Example This paper will evaluate Dr. Abigail Forsythe’s argument. Question 1: Conclusion of Dr. Abigail Forsythe’s argument In summarizing Dr. Abigail Forsythe’s argument, it stands to be vague as opposing peace portrays a senseless mind. Trying to justify the activities of the armed forces as a way of bridging peace comes out as under reasoning. Instead of stating that people should have given war a chance in 1939 and peace in 1946, the chance of peace should have been embraced in both 1939 and 1946. This would have saved people a lot of suffering. As long as individuals remain imprisoned in the field of self-oriented reasoning, they can easily justify their brutality to others. They excuse their tough eyes and supremacist rankings, ignoring the suffering they cause to others, and continue on rationalizing their actions and blocking awareness of the reality of their feelings and their fundamental oneness with other humans. Question 2: Important premises of Dr. Abigail F orsythe’s argument Dr. Abigail Forsythe’s argument has four main premises, of which some stand as cogent arguments and some as irrational. One premise holds that saying people should not avoid war because of its inconveniences is insane because they do not avoid giving birth to babies even though they come with their own inconveniences. The second vital premise is based on the reason why parents have to take care of their babies. This argument is valid because every parent, despite the hardships, should dictate the course of the children; this stands as their sole reason of bringing them to this world. The third premise stands at trying to justify Canada’s war against Hitler and Mussolini versions of fascism. The premises try to justify that it is Canada’s own right to fight for its rights in a war. This argument is vague as it does not spell out other options that Canada could opt for; hence it stands as an irrational argument. Any reasonable person woul d have thought of other options in the place of Canada instead of engaging in fights. The fourth point, trying to seek peace, lies in the people’s own context, hence is irrational. The premise tries to justify that the country was right to seek war in 1939 and seek peace in 1946. The reasonable fact should be that peace should have been sought in 1939, and more peace in 1946. For this reason, Dr Abigail Forsythe’s argument, for seeking war in 1939, is irrational. Question 3: Quality of Dr Abigail Forsythe’s argument Dr Abigail Forsythe put out an argument whose thesis stood mostly of opposing the wrong things. The argument tried to justify the right things that people do. Some of the fallacies in the argument are as follows: it stands wrongly to avoid war because there is much more to avoid than the inconveniences of deaths on sufferings. The second argument, which can be viewed as a good argument, is the one that says parents have the duty of looking after thei r children, not for any other reason, but because they brought them to this world. The third fallacy trying to justify Canada’s fighting as a measure of doing what stood to be right then shows a lack of reasoning. Other options like peaceful mediation would have been adopted instead of going to the battle field to sort out issues. As a result of the battle, many lives were lost, the losing country lost its dignity, and property was destroyed. In the pursuit of peace, Canada, Germany and Italy could have

Thursday, July 25, 2019

Hungary taxation system during and after soviet union Essay

Hungary taxation system during and after soviet union - Essay Example The government of Hungary has various industries which it can impose tax such as in textiles, food processing, chemicals, mining and motor vehicles industries. This paper discusses about the Hungary taxation system during and after Soviet Union. Also, outlines several changes that were evident in a clear and outright way. In the early 1950s, Hungary, like the other European countries embraced the soviet economic model which was introduced by Stalin. The design constituted of one sided preparations for war and emphasized on industrial self-sufficiency. This led to centralized managed system replacing the market and the market prices. This model was not fit for Hungary as it was a country with a population of 10 million people and had an economic background that was different from the Soviet Unions. The result of this was that the one fourth of the gross national product increase was wasted by the frozen investment projects and the unsalable commodities. The impact of this was that the shortage appeared in every area. The average wage earner wage earner experienced 20 percentage declines in real wages, and there was food rationing. The revenue also collected by the state as tax was minimal, and these made Hungary experience an economic crisis in 1953 (OECD, 27). It is apparent that the fiscal system of Hungary passed a series of stages from the centralized planning to mostly free market economy. The first stage which is classical socialism was experienced in the first two decades after the World War II. Classical Socialism was characterized by centralization of many economic variables such as income distribution, pricing, input and output mix. At this stage, tax system was used as a rudimentary tool to capture economic surplus and the transferring of the revenue to the state. The taxes imposed at the time were a mixture of turnover taxes and taxes from the factors of production. The paying was exclusively by the firms in this socialized economy (Bernardi et

Wednesday, July 24, 2019

MM416 Essay Example | Topics and Well Written Essays - 500 words

MM416 - Essay Example Strategic management accounting has not been described in a justifiable way in order to eliminate any doubts of reflection in the management accounting textbooks (Hoffjan & WÃ ¶mpener , 2006). Therefore, the lack of use vastly recognized understanding is associated to the reluctance of the textbook authors in the usage of "strategic management accounting." There are different ways through which Chief Financial Officers (CFOs) determine management accounting innovation in an organization. According to David Naranjo-Gil, innovation in management accounting is referred to practices, and ideas that are viewed as new in its adoption in improving organizational efficiency and performance (Naranjo-Gil , Maas , & Hartmann , 2008). Therefore, CFOs determine and ensure the adoption of these practices by assessing and reporting the required financial and non-financial information in making concrete organizational decisions. The individual variances between CFOs and their respective characteristics dictate the use of organizational innovation in management accounting. According to a dissemination study on management accounting, most public sectors adoption of management accounting innovations is significantly affected by the central government. As a result, the determination of management accounting innovation by CFOs is based on various politica l and economic factors. Strategic planning process is a core element in improving organizational efficiency and business operations. According to Gonn K. Weide, there are a vast range characteristic of strategic planning process that can be adopted by the management in accomplishing short-term and long-term organizational goals. For instance, an effective strategic planning must incorporate communication strategy, a task force, vision and mission statement, values, goals and objectives, activities, an implementation strategy, and a

Tuesday, July 23, 2019

Global Branding In The 21st Century Essay Example | Topics and Well Written Essays - 500 words

Global Branding In The 21st Century - Essay Example Global branding managers increasingly need to find ways to speak to customers individually, or in smaller groups. Global brand managers are able to communicate with their customers in ways never before possible. The opportunities of interfacing with individuals and smaller, carefully targeted interest groups, and the ability to reach them whenever and wherever they may be at any given moment, are unlimited. Global branding managers are exploring all this with a variety of approaches, making the Internet a flexible and ever-changing medium. Even branding managers, whose products cannot be obtained directly via the Internet, such as fast-food restaurants, use the Internet to communicate a favourable personality and the value of their services to create goodwill among their customers. In the midst of all this, brand presence emerges as an important means of continuity and interfacing with other communication media. If not, new brands and brand marks, that surface almost daily on the Internet, can become extinct even before being recognized and accepted by the customer. The time span for creating new brands and brand marks has been shortened substantially through the availability of computers and a wide variety of computer software.

Monday, July 22, 2019

Organizational Structure Essay Example for Free

Organizational Structure Essay An organizational structure is a composition that specifies a companys hierarchical structure. There are various kinds of conformations that organizations can choose to build their business around. The organizational structure exemplifies the way in which control and business affairs have been appointed within the organization. Organizational structure encompasses the design of an organization though people positioning and responsibilities in order for organizational goals can be reached. Some of the time, a formal structure is not necessary due to a small informal business setting. In large organization responsibilities must be distributed. Hence, the reason that policies and procedures are established that assign responsibilities for numerous positions. The determination of these organizational functions (such as marketing, finance, human resources, and operations) influence and determine the organizational structure of your an organization. The three main types of organizational structures are functional structure, divisional structure, and matrix structure. Divisional Structure The structure that an organization is based around also is contingent on the enormity of the company. Divisional structure separates the faculty based on the commodity and customer demand verses geographical location. For example, each area within the organization is accountable for certain divisions. Each division has individual support systems such as finance department, marketing department, warehouse department, and maintenance department. Divisional structure is grants flexibility and is a decentralized structure. Divisional structure also grants quick adaptability to geographical changes. Divisional structure embellishes advancements in the market and industry and allows for various plans of action. However, this structure causes replication of resources due to each unit having the necessity of every resource. PepsiCo’s Organizational Design An example of an organization design around divisional structure is PepsiCo. PepsiCo is a flexible company that is constantly looking for new innovations and consistently adapts to the geographical market. PepsiCo has a decentralized organizational structure. The functional determinations are made in individual units with corporate control and direction. PepsiCo has one CEO and three division presidents. The companys hierarchical structure continues as each division is broken down into market units. Each market unit has a director. Furthermore each market unit is divided into regional units, then down the chain to sales units. Each unit has its own resources, such as marketing, finance, human resources, and operations departments. PepsiCo determines responsibilities by departmentalization. Departmentalization is a conglomeration of common duties and characterization of tasks. The influences of departmentalization are function, product, geographic, process and customer. PepsiCo maintains a span of control by making sure of correct distribution of responsibility among employees and task obligations are accounted for. For example, units are tasked with weekly, monthly, quarterly, and yearly forecast for sales, operations, overhead, and labor. Reports are sent weekly to account for these actions. Human resources departments are in each division to ensure control over the organization. There are guidelines and procedures in place to ensure the rules are being followed across the globe. Formalization sets the standard for the administered responsibility. Each unit at PepsiCo has management teams in place to ensure control of task performances. For example, a if a location has been tasked with a 1,000 case distribution for week one in the period and the sales teams are severely falling short on sales, management will step in to centralize the issue, reiterate the method of actions, and ensure the actions are conducted in a certain manner to achieve results. PepsiCo is multinational organization made up of three units which are PepsiCo Americas Foods, PepsiCo Americas Beverages and PepsiCo International. This structure allows the organization to focus on manifesting international markets, which will grant independence revenues, enabling focus on better product advancement. The organization is spread across the globe. However, the control is local, unlike a matrix structure that is located only in a single area (PepsiCo 2012). Matrix Structure A matrix structure formalizes line teams as well as the typical divisional hierarchy. The matrix structure is a hybrid between the functional and divisional structure, effectively creating independent business units for each product or service created or each unique market targeted. The matrix-structured organization is a project-based business that divides individual groups based on functional specializations. Variation of the matrix structure divides the authority by both functional and project areas. The functional manager heads up the functional areas of the organization. The project supervisor oversees the assigned project. This allows for management to focus on areas of proficiency. Companies such as General Motors has based its organization around the matrix structure due to the ability to specialize in specific areas, and organizational communication through other fields. General Motors believes the differentiation of ideas creates innovational determinations. The matrix structure also allows the human resources department to be shared throughout the organization. General Motors is made up of one main chief information officer (CIO) and several divisional CIOs that control the functionalities in the organization. General Motors also has process information officers that work in various areas of expertise across the organization. General Motors believes the matrix structure develops global commercialism (Daft 2007). Functional Structure Functional Structured organizations group tasks according to the target. Functional structured organizations work well for organizations that have a need for departments to rely on expertise of its faculty. A major disadvantage to a functional structured organization is the communication boundaries due to variation in departments that work individually. One company that a functional structure works well is Wal-Mart. Wal-Mart is one of America’s largest retailers. Wal-Mart is designed by a functional structure. Wal-Mart’s target market is a consumer with median incomes. Wal-Mart has a limited amount of functions in specialized areas with in the organization. Wal-Mart does not produce its goods, but has enough buying power to supply the demanded products. The organizational structure and large size enables the buying power to purchase goods at low prices. This buying power enables Wal-Mart to offer its target market lower prices creating a competitive edge over other retailers. A functional structured organization; such as Wal-Mart have a chief executive officer, limited executive staff, and department heads in domineering areas of expertise such as accounting, marketing, human resources and warehouse. Wal-Mart’s headquarters and executive staff is made up of a Chief of Executive Officer, Chairman of the Board and Board of Directors, with supporting committees. Conclusion Determining an organizations structural design that will be the most effective for a specific company has great significance on organizational success. Using an unsuitable design structure can be consequential in communication, product development, customer service, and countless situations of other organizational issues. Organizational structure can determine the successful outcome of the organization. Reference Bateman, T. S., Snell, S. A. (2011). Management: Leading Collaborating in a Competitive World (ninth ed.). New York, NY: McGrall Hill. Retrieved May 7, 2012 (2012). PepsiCo. Retrieved May 7, 2012, from www.pepsico.com Daft, Richard (2007). Organizational Theory and Design (ninth ed.). Manson, OH: Thompson Higher Education. Retrieved May 7, 2012.

Long-Range Career Objectives Essay Example for Free

Long-Range Career Objectives Essay Please provide a statement outlining your immediate educational and long-range career objectives in relation to your chosen field. If there is a particular faculty member with whom you wish to study, please give that persons name and explain why you want to study with that person. You may also wish to include other information, such as any undergraduate research experience, internships, or other experiences you may have had to document your preparation for advanced study in your chosen field. My future plan is to achieve the CPA of America and work in a renown accounting firm or in the finance department of companies. I think by learning in your school can give me a better opportunity fulfill my future professional development. What’s more, by learning taxation and accounting for two years in my own country, I developed a personal interest in those fields. I believe America’s outlook and teaching of accounting is very unique and efficient. In order to have a better understanding of this concept I would like to study at your school. Here I want to share my internship experience with you. I was fortunate to be chosen as an intern in the taxation department of Deloitte Touchà © Tohmatsu. My job here is to assist the senior manger to do some search and document revised work. Working here not only gives me a better understanding about my professional knowledge but my future career development. It also gives me a chance to find out how a successful company operates and what makes a qualified staff for that company. The DTT has very comprehensive and effective information sharing and communication system. In which it will make sure every staff member has easy access for use. For instance, I was only an intern there, but I can visit every internet resource and store documents in all the DTT†s firms in China. In addition, I can make a direct conversation to my co-workers, including the partner of the company, immediately if needed. The significance of these systems not only let us do our work efficiently and quickly, but also send messages to all its workers that â€Å" we have confidence on your professional ethics and we are ready to listen to your advises all the time.† The true thing is DTT always regard all its staff members as a part of the company, I think that is why employees are hard working on a daily basis. I think the most important character of a DDT employee is initiative. Compared to waiting for a job assignment , we should be eager for a work opportunity and find something to do when we are not occupied. This internship taught me that I should show my capability and my willingness to my job at the same time. Although I am no longer working in DTT China, I am the one equal member of initiative that seeks further study opportunity in your university. I hope this piece of writing could give you a better understanding of my personality to consider my application.

Sunday, July 21, 2019

The Macro Economic Policies Of Australia

The Macro Economic Policies Of Australia Australian governments over precedent decades have conventionally aimed towards including triangular objectives of financial growth, domestic poise, and external poise within framework of single economy. (DORNBUSCH, Rudiger, 2006) Collectively, these trio set of objectives aim towards sustaining nationalized financial growth while retaining inferior inflation as well as limiting the mass of overseas debts and liabilities. Several researches conducted in concerned field have revealed that there is no consistency in level of economic growth though; it is influenced greatly by fluctuations of international business cycle. (DORNBUSCH, Rudiger, 2006) A governmental macroeconomic management is referred as an attempt to minimize the impact of international business fluctuations by controlling demand to facilitate sustained growth together with inferior inflation and unemployment. In the last decade macroeconomics policy in Australia has been directed at controlling inflation as it would be associated with macroeconomic stability and growth. Following on from the GFCs the governments main emphasis of macroeconomic policy has been trying to avoid a recession. Contrast these two phases of policy. Explain how macroeconomic policy objectives, targets and instruments have differed. Explain how macroeconomic policy objectives, targets and instruments have differed. Outline the experiences of the Australian Economy over the last 10-15 years making use of macroeconomic aggregates these may be presented in summaries of tables and/or graphs. Stress should be placed on the challenges facing policy makers at present and likely challenges. Before the global economic crisis (GFC), the Australian economy has seen significant growth in terms of GDP ignoring various crises that have affected the global economy such as the Asian financial crises (1997-1998) and the United States (US) dot com bust (2000) (reference). Throughout this time, Australian macroeconomic policy (MP) has primarily been directed at controlling inflation to maintain stability and growth. MP refers to the structure, performance, behaviour and decision making of a whole economy. (Reference) states that MP is associated with the study of aggregates such as gross domestic product (GDP), price indices and unemployment rates to examine how the economy functions. Macroeconomic Policy The continuance of a steady economic environment in Australia post GFC has proven to be a difficult task, with the surfacing of undesired inflation and external account pressures (Treasury, 2008). According to Treasury (2008) acts of policy to tackle such pressures has consistently contributed to short-term downturns and, unavoidably, constrained the prolonging of economic growth. The basis of the issue, however, is the policy failure which permitted the pressures to appear. Nevertheless, the resulting changes in the economic outlook would affect the self-assurance of businesses and consumers and their readiness to engage in the process of structural change. Moreover, disparity in fiscal policy and hesitation about inflation predictions has lead to higher real interest rates, discouraging investment and distorting investment patterns. In the last few years substantial progress has been made in addressing inflation and to a lesser extent current account deficit constraints (RBA, 2009). The current cycle has been characterised by low inflation, with monetary policy being carried out on a more strategic basis with the desire to keep principal inflation consistent with the Reserve Bank of Australias (RBA) average target range of 2 to 3 per cent over a yearly cycle. Last year the Government introduced a new framework for the conduct of policy, clearly recognising the Reserve Banks role and endorsing its inflation objective. The clarification of policy responsibilities, and recognition of their observance in practice over time, together with an accumulating record of low inflation, is likely to have a continuing positive impact on lowering inflation expectations and creating confidence in a sound investment environment. Australias large structural current account deficit reflects both inadequate national saving and inadequate investment returns overall (ABA, 2009). On the saving side, the principal cause is a deficiency in public saving especially at the Commonwealth level. The Government through its fiscal consolidation program is addressing this problem and has put in place a policy framework that will maintain the adequacy of the Commonwealth contribution to public saving. Statements 1 and 2 spell out in detail the fiscal strategy, including improved transparency and accountability practices, and implementation of the strategy in the years ahead. The benefit of a more soundly based fiscal policy is likely to be seen over time in the capacity of the economy to sustain faster rates of growth than would otherwise be the case. While it is too early to be able to point to any concrete results with confidence, the 1997-98 economic outlook presented in Statement 2 suggests that higher saving in prospect next financial year will help to constrain the current account deficit. Before the global economic crisis of 2007 the Australian economy sustained increased economic growth of approximately 8% per annum except for the year 1997-1998 (Asian financial crisis) (The Australian Year Book 2008). This resilience reflects on well-timed monetary and fiscal policy responses; strong demand from various major trading partners, such as China; increased population growth that aided demand in the domestic economy; and the robustness of the financial sector (The Australian Year Book 2008). More generally, Australias strong economic performance can be commended by decades of economic reform in economic policy, regulatory frameworks and governance. These have increased the flexibility of the economy, and strengthened its ability to withstand unforeseen circumstances. Dungy and Pagan (2007) suggest that aggregate behaviour exists between fiscal policies and is connected Since 1997/98 the federal budget has been in surplus continually, apart from a very small deficit in one year. The governments net debt has been retired. Gross debt on issue is maintained at a small size in order to facilitate a functioning bond market so as to allow efficient risk pricing more generally. As with monetary policy, there is a medium-term framework for fiscal policy emphasising balance over the business cycle. There is much less inclination today than there once was to use fiscal policy as a counter-cyclical stabilisation tool. Significant fiscal challenges in the long-term include health spending and responding to population ageing, as the very important work by officers of the Australian Treasury has made clear. Macroeconomic policy has a supportive and complementary role in providing a stable economic environment conducive to sound investment decisions by business and to encouraging workers to invest in upgrading their skills to take advantage of new employment opportunities. Macroeconomic aggregates are: Aggregate behaviour: relationships between economic aggregates such as national income, government expenditure and aggregate demand. For example, the consumption function is a relationship between aggregate demand for consumption and aggregate disposable income. Models of aggregate behaviour may be derived from direct observation of the economy, or from models of individual behaviour. Theories of aggregate behaviour are central to macroeconomics. Aggregate demand: aggregate demand (AD) is the total price for demand for final goods and services in the economy (Y) at a given time and price level [1]. It is the amount of goods and services in the economy that will be purchased at all possible price levels.[2] This is the demand for the gross domestic product of a country when inventory levels are static. It is often called effective demand, though at other times this term is distinguished. It is often cited that the aggregate demand curve is downward sloping because at lower price levels a greater quantity is demanded. While this is correct at the microeconomic, single good level, at the aggregate level this is incorrect. The aggregate demand curve is in fact downward sloping as a result of three distinct effects; Pigous wealth effect, the Keynes interest rate effect and the Mundell-Fleming exchange-rate effect. Aggregate expenditure: is a measure of national income. It is a way to measure the GDP or Gross Domestic Product (A measure of the level of economic activity). It is defined as the value of planned goods and services produced in an economy. GDP is calculated by the formula C + I + G + NX and I = Ip + Iu (planned + unplanned investment), Aggregate Expenditures is defined as C + Ip + G + NX, where: C = Consumption Expenditure (Also can be written as CE) I = Investment G = Government spending NX = Net exports (Exports-Imports) Aggregate supply Aggregation problem Effective demand: Saving Government Macroeconomic goals: High and stable economic growth rates Low unemployment Low inflation Stable and manageable Balance of Payments RBA article: RBA uses short term interest rate as its operating instrument for implementing monetary policy. RBA sets target level for its cash rate. RBA has two options It can target particular level of bank reserves and accept the resulting outcome for short term interest rates It can seek to achieve a particular target level for short-term and supply whatever quantity of services is demanded at the target rate. For a given demand curve for reserves the RBA will need to alter the supply of bank reserves to implement a change in the stance of monetary policy. While banks continue to hold reserves with the RBA these reserves are associated with settlement in the payments system. In addition the RBA pays interest on reserves which is linked to the cash rate. An important effect on the current operating procedure is the relationship between the quantity of reserves and the level of the policy rate. Monetary policy operating procedures is based on the supply of and demand for some measure of the money supply. Systematic changes to the stance of monetary policy need to be implemented by changing the supply of bank reserves. Central banks can influence the stock of bank reserves by undertaking open market operations either directly with the banking system or with the non-bank public. A central bank is unable to independently determine both the quantity of bank reserves and their price. To understand how the RBA achieves its target for the cash rate it is necessary to consider the operation of the payments system in Australia and the overnight cash market. In Australia the major players in the payments system are the nonbank public (households and firms), the private banks, the RBA and the federal government. The trend in unemployment in the most recent decade has generally been downward. Following a rise of a percentage point in the economic slowdown in 2001, it has fallen to the lowest levels since the mid 1970s. The long expansion, with occasional temporary pauses, has done a lot to foster lower unemployment. But the changes in labour market arrangements over the past 20 years or so have also been very important. Indeed, I would argue that they are a key contributor, not least because they have facilitated the longer length of economic expansions. http://www.bis.org/review/r080516b.pdf?noframes=1 Firstly, as is widely accepted, tax systems must be fiscally sustainable across the economic cycle. Secondly, while monetary policy is the principal instrument of macroeconomic management, it is still necessary to remain mindful of the short-run liquidity effects of fiscal policy The challenges associated with an aging population identified in the Intergenerational Report have prompted the Howard Government to establish a long-term strategy to put fiscal policy on a more sustainable footing. Central here was the creation of an independently managed Future Fund in 2006 to help meet the costs associated with Australias aging population. The primary goal of the Future Fund is to accumulate adequate capital to meet the Commonwealths unfunded $91 billion superannuation liability so that it does not burden future generations. The Future Fund has been capitalised from a number of sources including asset sales, special seed funding (designed in part to preserve sovereign debt markets) and budget surpluses from the governments cash account. While the Future Fund is primarily about fiscal sustainability rather than stabilisation per se, it is important to note that the structure of the Future Fund and the allocation of surpluses to it do have some important implication s for the stabilisation debate. The significant point here is that the Future Fund represents an innovative vehicle in which cash surpluses can be invested without stimulating short-run consumption. Overall recent Australian fiscal policy has been consistent with the objectives set out in the Charter, in that fiscal policy is clearly being conducted on a sustainable basis with significant financial resources now being invested in the Future Fund. What is less clear, however, is the impact of this policy on the goal of macroeconomic stabilisation and whether the challenges currently confronting the Australian economy may require more careful consideration of the impact of fiscal policy on short-run economic activity. Given the political sensitivity of the issue and the RBAs understandable reluctance to speak outside its official mandate, the central bank has not been willing to provide the government with explicit advice on fiscal policy. Indeed the new RBA Governor, Glenn Stevens, attempted to down-play the issue at a February 2007 Parliamentary Committee hearing when he stated that it was unlikely any election spending spree would have enough short-term impact to enter into the RBAs interest rate calculations (Wood 2007). Activist fiscal policy of the Keynesian golden age may well have passed, with monetary policy now established as the primary instrument of macroeconomic management. Yet this does not mean that we can completely ignore the stabilisation function of fiscal policy which Musgrave described almost half a century ago. This is especially so when, as in the case in Australia at present, key sectors of an economy are running at close to full capacity and inflationary risks are building. Under these circumstances fiscal policy must not only be sustainable, it must also be sensitive to its potential to stimulate demand in the short-run. Fortunately, for the Australian economy it seems that there is an awareness of the need to exercise a degree of fiscal restraint in the prevailing conditions with both major parties. http://eprints.utas.edu.au/3970/1/3970.pdf Challenges: Australias population is projected to reach nearly 36 million by 2050 an increase of around 14 million The first challenge is that an ageing population implies slower economic growth. As the proportion of the population that is of traditional working age falls, the labour force participation rate is projected to fall (from above 65 per cent today, to below 61 per cent over the next 40 years), dampening workforce growth. Population dynamics explain one-half of the 0.4 percentage point gap between annual growth in GDP per capita over the next 40 years relative to the past 40 years the other half being due to a technical assumption relating to productivity growth. The second challenge is that working Australians will need to support an ageing population that, in part due to continuing technological advancements, is likely to be living longer. Men aged 60 in 2050 are projected to live an average of 5.8 years longer than someone aged 60 today, while women aged 60 in 2050 are projected to live an average of 4.8 years longer. This is great news for Generation Y, but a sobering statistic for future budgets. The greater publicly funded health, aged care and related expenditures to support Generations X and Y in their retirement years will need to come from a relatively smaller number of workers than we have today. On a no policy change basis, a significant fiscal gap is projected. The intergenerational report shows how the Governments fiscal strategy to constrain real expenditure growth contributes to reducing, without wholly eliminating, the projected fiscal gap. The third challenge identified in the intergenerational report concerns the impact of climate change on ecosystems, water resources, agricultural production and weather patterns. Against these challenges, there are three topics I want to say something about today: Promoting economic growth by improving productivity and workforce participation; The implications of a growing population, particularly for infrastructure investment; and Medium-term prospects for capital flows required to finance national investment. For obvious reasons, I wont be saying anything about climate change on this occasion. Discuss the concept of instruments and targets in macroeconomic policy and assess how this concept of instruments and targets in macroeconomic policy and assess how this concept might be applied to the current policy framework in Australia. A number of people have asked me for clarification on instruments and targets as referred to in assignment 2. Here is what I mean: These refer to macroeconomic policy. INSTITUTIONS make policy. Examples would be the Reserve Bank of Australia and the Treasury. These institutions set policy TARGETS. An example of such a target would be an annual inflation rate of no more than 3%. Policymakers then use policy INSTRUMENTS to meet the targets. Typical instruments include the RBA cash rate or government spending. Show how the economic theory you have learnt can be used to explain current macroeconomic policy. How is inflation measured? GDP Deflator Consumer Price Index: an average of the prices of the goods and services purchased by the typical urban family of four. Producer Price Index: An average of the prices received by producers of goods and services at all stages of the production process fiscal and monetary policy The tools the Australian government controls to smooth short-run fluctuations in the economy inflation, unemployment and external trade The causes and effects of inflation, the link between inflation and unemployment, Australian trade with the rest of the world Fiscal policy: Fiscal policy is the government operation of government spending (G) and taxes (T). Typically we consider the problem of how the government can manipulate G and T so as to control economic variables such as output, inflation, interest rates, etc. Issues: how fiscal policy can stabilize the economy? what about government borrowing and public debt? Budget deficit: the budget deficit is the extent of overspending by the government Budget deficit = G T Expansionary fiscal policy: increasing the budget deficit (Gà ¢Ã¢â‚¬  Ã¢â‚¬Ëœ or Tà ¢Ã¢â‚¬  Ã¢â‚¬Å") usually in a recession. Contractionary fiscal policy: decreasing the budget deficit (Gà ¢Ã¢â‚¬  Ã¢â‚¬Å" or T à ¢Ã¢â‚¬  Ã¢â‚¬Ëœ) usually in an economic boom. Budget deficits and surpluses If the government spends more than it brings in in taxes, what happens? (G > T) The money has to come from somewhere. For developed countries, this means borrowing (issuing government debt or public debt) from domestic residents or foreigners. If the government is spending less than it brings in in taxes, the government can reduce public debt. The Australian government has followed this policy in the last 10 years. Types of fiscal policy We differentiate two types of fiscal policy: Discretionary fiscal policy: This is fiscal policy that comes about from planned changes in G and T that the government brings in response to the economic situation. Non-discretionary fiscal policy: This is fiscal policy that comes about from the design of spending and taxes. There is no government official actively determining these changes. Non-discretionary fiscal policy Certain parts of our spending and taxes automatically increase demand in a recession (when AD < potential GDP) and decrease demand in a boom (when AD > potential GDP). Welfare spending and unemployment benefits are part of G and increase in a recession and decrease in a boom. Income and company taxes are part of T and depend on GDP, they increase during a boom and decrease during a recession. These act as automatic stabilizers on the economy, reducing the variability of the economy. Cyclically-adjusted budget deficits The automatic stabilizers raise the budget deficit in a recession and lower the budget deficit in a boom. This fact means that we can not just look at the budget deficit to determine whether the government is overspending, we also have to take into account where we are in the business cycle. Adjusting the budget deficit for the point we are in the business cycle is called cyclically adjusting. We would expect even a sensible government to be in a deficit in a recession. Discretionary fiscal policy Discretionary fiscal policy is the manipulation of G and T by government officials typically to reduce the severity of shocks to the economy. It sounds like a good idea, but how does it work in reality? There are many problems and limitations to the use of fiscal policy to reduce recessions and booms. Problems with discretion Scenario: Imagine a train driver that has only one control- an accelerator/brake that he or she can push or pull on to control the train. This is exactly the same situation as the government faces with fiscal policy. Now what limitations can the train driver face? Problems with discretion Limitations: Correctness of data: Is the train driver seeing the tracks correctly? Or Does the government get the right data about where the economy is? Timing of data: Is the train driver seeing the tracks with enough time to react? Or Does the government get the statistics quickly enough to do anything? Decision lags: Can the train driver make a decision about the correct action before the train reaches the problem spot? Or does the government have time to design the correct fiscal policy? Problems with discretion Administration lags: If the driver pulls on the control, how long will it take for the brakes to start to work? Or New spending and taxes have to be passed through parliament, which takes time, even after a decision is made. Operational lags: If the brakes start to work, how long before the train slows down? Or New government spending and taxes take time to affect the economy. So even the best-designed fiscal policies can go wrong if they are in response to the wrong data or if they take too long to affect the economy. Political considerations There are further concerns we might have about the operation of fiscal policy. Politicians have to remain popular. No one likes taxes, and everyone likes new spending on themselves. Will a politician make an unpopular decision that may result in them losing the election if it is the best decision for the economy. Electoral cycles: Governments have to be re-elected every 3-4 years. So a politician would love to engineer a boom right before his or her election. Crowding out Another problem with fiscal policy is that an increase in G may increase output but at the expense of other components of aggregate expenditure. Y = C + I + G + NX Since the economy returns to potential GDP over the long-run, an increase in G must come at the expense of either C, I or NX or all 3. If an increase in G reduces investment spending over the long-run, this could lead to lower future growth in the economy. Crowding out How can this happen? An increase in G shifts the AD curve to the right. This results in higher Y and higher P. The increased government borrowing in the market for savings raises the interest rate. Higher interest rates lead to lower investment spending so I drops, shifting AD left. Higher interest rates leads to an appreciation of the A$ (as foreign investors put their money in Australia), so NX drops, shifting AD left. Crowding out- I and NX Government debt One problem that economic commentators always point to is the level of government debt- Our debt is too high. How do we evaluate the level of government debt? How do we know is it is too high. Government debt is like any other form of debt. You evaluate the debt relative to the income/wealth of the person incurring the debt. A $500,000 debt might be high to you and me, but it might mean nothing to Kerry Packer. Government debt So we need to evaluate government debt relative to government income. But what is the appropriate form of government income, as the government doesnt earn or produce anything. Generally we use the income of the country as the comparison, since the government is free to tax or claim any part of GDP. Government debt So our criterion for too much is debt (B, since typically government debt is issued in government bonds) over GDP (Y): B / Y Banks would make much the same calculation when considering whether to issue someone a home loan. In general debt is growing at the rate of interest each year, r, while GDP is growing at the growth rate of the economy, g. Monetary policy Firstly, monetary policy uses the level of interest rates to influence the economy in the short to medium term. Its major goals are to stabilise demand and inflation in the medium term and inflationary expectations and to achieve the governments objectives of sustainable growth with underlying inflation of about 2-3%. Source: Chapter 12 of the book plus second part of Module 3. Monetary policy is the government operation of the money supply and interest rates. Typically we consider the problem of how the government can manipulate monetary policy so as to control economic variables such as output, inflation, interest rates, etc. Issues: how monetary policy can stabilize the economy? how will monetary policy affect interest rates or exchange rates? Who operates monetary policy? The Reserve Bank of Australia (RBA) is responsible for monetary policy. The RBA was given 3 goals when it was created: Maintain low inflation Maintain low unemployment Maintain value of the A$ The RBA was only given one policy tool- the money supply to achieve 3 goals. In the mid 1990s, the RBA was simply told to have one aim: Maintain low inflation. Definitions The RBA implements monetary policy through its control of the cash rate. Cash rate: The cash rate is the rate the RBA charges bank for loans within the RBA reserves system. The cash rate is the base interest rate for the economy, and all other interest rates are derived from it. Easy monetary policy: When the RBA lowers the cash rate to stimulate AD. Tight monetary policy: When the RBA raises the cash rate to cut off AD. Interest rates As we saw in the Investment section, the profitability of investment projects depends on the nominal interest rate. The lower are interest rates, the more projects will be profitable, so the higher will be investment spending. Since the RBA controls the cash rate, and since all interest rates depend on the cash rate, the RBA controls I, and so can shift the AD curve. How monetary policy works Cause-Effect Chain of Monetary Policy: Money supply impacts interest rates Interest rates affect investment Investment is a component of AD Equilibrium GDP is changed Monetary policy and the open economy Net Export Effect Changes in interest rate affect the value of the exchange rate under floating exchange rate. An increase in interest rate appreciates the currency, resulting in lower net exports A decrease in interest rate leads to currency depreciation and a rise in net exports So an easy monetary policy is enhanced by the net export effect. Quantity theory of money There is a nice, simple model of money which explains many features of money supply and demand. This model is called the quantity theory of money. If we imagine that money is needed for all of the purchases made each year, then demand for money is the vale of purchases: PY. The supply of money for purchases is the amount of cash in the economy. But each piece of money in the economy can be used multiple times during a year in transactions. We call the number of transactions the velocity of money v. Quantity theory of money So the total supply of money for transactions in a year is v times M: vM. So demand equals supply requires that: PY = vM So if Y goes up, but nothing else does, then average level of prices must fall. The QTM is good to use for thinking about money and inflation. Unemployment A person becomes unemployed: Job loser Job leaver New entrant or re-entrant into the labour force He or she is no longer unemployed: Hired or recalled Withdraws from the labour force Labour force participation rate Unemployment rate Types of unemployment Three main types of unemployment: Cyclical unemployment Frictional unemployment Structural unemployment Cyclical unemployment Associated with the ups and downs of the business cycle Takes place due to insufficient aggregate demand or total spending- reflects shifts in AD curve. High during recessions and low during booms. Fiscal and monetary policies can reduce cyclical unemployment policies are relevant. Frictional unemployment Associated with the period of time in which people are searching for jobs, being interviewed and waiting to commence duties. It is inevitable and always exist Fiscal and monetary policies can not reduce frictional unemployment macroeconomic policies are irrelevant. Policies that make it easier to find new jobs will affect

Saturday, July 20, 2019

Genetic Engineering: Perfect Body or Perfect Sin? :: Argumentative Persuasive Topics

Genetic Engineering: Perfect Body or Perfect Sin? New advancements in science happen everyday. Products may include medicines, fertilizers, household cleaners, durable materials, and more. One of the most controversial issues in the world of science is genetic engineering. Scientists say genetic engineering may bring large advantages to humans and the way they live. Critics argue that genetic engineering can mean the destruction of the pure human being. There are numerous advantages and disadvantages in genetic engineering but disaster can be avoided if extreme caution is practiced. When people used to think of genetic engineering, they thought of genetically enhanced superior food products. That all changed after Dolly, the cloned sheep, was introduced to the world. The recent advances in genetics sparked conversation about cloning human beings. Scientists believe that genetic engineering in humans is the answer to the multitude of problems that millions face everyday. Hereditary baldness, heart problems, mental disorders, and a lot more genetic diseases would cease to exist. The perfect world isn't that far away. So what could possibly go wrong in a perfect world made up of genetically enhanced organisms? Critics fear that disease-producing organisms used in food products might develop worldwide epidemics. The catholic church says that human cloning is morally wrong. Others don't want a perfect world. They argue that the ill-bred humans will take away our right to suffer. According to critics, genetically changing the structure of a living thing isn't worth the risk or sin. The perfect physical world is nearer than anyone can imagine. The anticipated problems can be resolved before they even happen. Epidemics can be avoided by careful procedure, supervision, and inspection. The National Institute of Health already has established regulations restricting the types of DNA that can be used for these types of experiments. The only barrier left is sin. There is nothing man can do to change the word of God. Man's is willingness to sin for happiness does not differ from stealing or killing for money. Heaven is the sacrifice they have to make to enjoy happiness. Science is an amazing and dangerous world that man seeks to control. Genetic engineering was never intended for man to discover. Now that he has, should he use it for his benefit?

Injuries and Ailments of Hamsters :: Hamsters Animals Veternarians Essays

Injuries and Ailments of Hamsters In general, hamsters (especially those in the wild) are robust little animals and aren't affected by many natural diseases. But, they are very susceptible to the infectious diseases of other animals, including humans. Many of the problems and ailments now associated with hamsters are a direct result of captivity. Because they are small, a minor illness can rapidly become major if immediate treatment isn't pursued. Since they are nocturnal many of the early signs of illness are not noticed. To insure good health, hamsters should be checked regularly: to include eating habits, exercise habits, teeth, limbs, body check for lumps, cuts and abrasions, etc. etc. A sick hamster generally becomes irritable and "bitey." They frequently become lethargic or walk almost stiff-legged if forced to move or may sit in a "hunched" position. The eyes are usually dull, sunken and sometimes watery. And, they don't eat much, which results in weight loss. SYMPTOM POSSIBLE CAUSE Blood in Urine Bladder & Kidney Infection Bloody Diarrhea Intussusception Breathing Heavy Shock - Colds & Influenza Broken Limb Broken Limb Bulging Anus Constipation - Intussusception - Rectal Prolapse Closed Eye(s) Impacted Pouch - Irritated Eyes Constipation Endoparasites Crusty Lesions in ears, face, feet Ear Mites Cuts & Bites Abscesses - Cuts & Bites Dragging Hind Quarters Broken Limb - Cage Paralysis - Hind Limb Paralysis Dry Scaly Skin Demodicosis - Mange - Mites - Ringworm - Sarcoptic Mange Eating Babies Cannibalism Eggs in Feces Endoparasites Excessive Drinking Bladder & Kidney Infection - Diabetes Extreme Diarrhea Tyzzer's Disease - Wet Tail Eye Rupture Eye Prolapse

Friday, July 19, 2019

Clean Air Act Title VI Essay -- Environment Geology

Clean Air Act Title VI An Examination of the Goals, Plans for Implementation, and the Effectiveness at Achieving these Goals Introduction and Background Ozone is a substance which plays a pivotal role in anthropogenic life. Formed by having three oxygen molecules bond together, it becomes a molecule whose formulaic makeup is 03. While contributing to only a small amount of atmospheric makeup, this is a molecule that without which, human life could not survive. Ozone is the one gas which absorbs long wavelength UV radiation (UVB). This radiation has been known to cause skin cancers, increase risk for glaucoma, and damage the immune system. 90% of all ozone is found in the stratosphere, with the other 10% making up tropospheric smog (http://earth1.epa.gov/oar/oaqps/peg_caa/pegcaa06.html). Located between 9 and 31 miles above the Earthà ­s surface, ozone is situated in roughly a sphere-like shape through diffusion across the atmosphere. This sphere is constantly changing in cycles through the natural breakdown and buildup of ozone. Stratospheric ozone depletion did not become a problem until after the 1950à ­s, when CFCs began to be manufactured. These chlorofluorocarbons were found in propellant aerosols, any type of machinery which was required to lower temperature, solvents, fire retardants (halons) and as byproducts of styrofoam production (http://ess.geology.ufl.edu). While CFCs are highly stable molecules in the lower atmosphere, upon entering the upper atmosphere, they encounter UV radiation. This radiation splits the CFC and releases a free-roaming chlorine molecule. The chlorine molecule destroys ozone at an alarming rate, with one catalytic Cl being able to account for the destruction of 100,000 ozone molecules... ...e previous years had shown a general trend of increase in ozone hole size. Now, the effects of the Clean Air Act being realized. Hopefully, through the efforts of the EPA and other groups throughout the world, the problem of stratospheric ozone depletion can be handled and even decreased. But more can be done. While the US has championed the cause towards a better world with ozone, many other countries choose to ignore the dangers of UVB through extensive lobbying by companies that have stakes in the production of CFCs. Without full cooperation from the global community, the problem will never be completely solved, as shown here (http://ess.geology.ufl.edu). If nations follow the lead of the US, utilizing alternative chemicals as propellants and finding new chemicals for air refrigerants, then the problem of stratospheric ozone depletion will be a problem no more.

Thursday, July 18, 2019

Archetypal Themes Present in Shakespeare’s “Romeo and Juliet” Essay

The origins of Shakespeare’s play â€Å"Romeo and Juliet† are relatively unknown. It’s hard to believe, but this archetypal theme of ill-fated love predates Shakespeare by more than a thousand years. The Merriam-Webster dictionary defines â€Å"archetype† as: the original pattern or model of which all things of the same type are representations or copies. One of the first pieces of written work to include this common archetype of ill-fated love was Ovid’s â€Å"Pyramus and Thisbe.† Written around A.D eight, and published in Ovid’s Metamorphoses, this poem recounts the story of two forbidden lovers who come to a tragic end, a theme recurring in literature. Shakespeare and Ovid both employ similar and different archetypal symbols within their work. One common archetypal symbol in both Ovid and Shakespeare’s work is the wall, symbolizing forbidden love. Ovid gives life to the wall by describing it as â€Å"hateful,† thus personifying the wall. Another example of how Ovid makes the wall more than just a inanimate barrier between the two lovers is when the lovers speak to wall. A most memorable line was when Pyramus and Thisbe declared, â€Å"But for you we could touch, kiss,† addressing the wall as a person. In comparison, in â€Å"Romeo and Juliet† the â€Å"wall† was the Montagues and Capulets fierce hatred for one another. In â€Å"A Midsummer’s Night Dream†, Shakespeare further develops this symbol of forbidden love by casting the wall as a character played by a person. This transforms the wall into more than just an inanimate object, but as an actual living thing that is separating the two lovers. Shakespeare and Ovid employ different means of personifying the wall, but in both, the wall is represented as a symbol of forbidden love. Another powerful archetypal symbol in â€Å"Pyramus and Thisbe† is the mulberry tree. Ovid uses the mulberry tree as a symbol of death and the ill-fated love of Pyramus and Thisbe. Ovid’s poem starts out with a description of the mulberry tree, informing the reader that once upon a time the red berries of the mulberry tree were actually as white as snow. Like all of the other  tales in Ovid’s Metamorphoses, this poem is focused around change, in this particular case, the change in color of the berries of the mulberry tree. Ovid tells us that the berries were stained red by the blood of Pyramus as he committed suicide upon finding Thisbe’s blood-stained cloak. Another archetypal symbol of death, similar to the mulberry tree, is the lion used by Ovid, the harbinger of death. In fact one can view death itself as another â€Å"wall† that separates Pyramus from Thisbe, until she joins him in death. Archetypal symbols of death, such as the mulberry tree and the lion, appear in numerous works of literature, and can be identified in Shakespeare’s plays. Up until this point, I have been analyzing Ovid’s and Shakespeare’s use of archetypal symbols, but it is also important to point out some similarities and differences between both authors. â€Å"Romeo and Juliet† and â€Å"A Midsummer’s Night Dream† both incorporate elements from â€Å"Pyramus and Thisbe†. However, the parallels between†Romeo and Juliet† and â€Å"Pyramus and Thisbe† are more authentic, given that â€Å"A Midsummer’s Night Dream† is Shakespeare’s satire of â€Å"Romeo and Juliet†and â€Å"Pyramus and Thisbe.† Both â€Å"Romeo and Juliet† â€Å"Pyramus and Thisbe† have parallel plots, common symbols, and archetypal characters. On the other hand, the original â€Å"Pyramus and Thisbe† is somewhat similar to the amusing rendition that the characters of â€Å"Pyramus and Thisbe† that Bottom and his friends from â€Å"A Midsummer’s Night Dream† perform. However, there are some differences. In â€Å"A Midsummer’s Night Dream† Ovid’s work is performed crudely and absurdly, meaning that Shakespeare was well aware of these oft-repeated symbols and themes and wished to parody them. Next time I read a piece of literature, I will have my eyes open for some of the archetypal symbols the Ovid and Shakespeare use in their work. Being able to recognize archetypal themes and symbols gives the reader a profound and more meaningful understanding of the text. Both Ovid, in â€Å"Pyramus and Thisbe†, and Shakespeare, in â€Å"Romeo and Juliet† and â€Å"A Midsummer’s Night Dream,† employ common archetypal symbols as a way to enhance the story that they are telling. Works Consulted: Hosley, Richard (1965). Romeo and Juliet. New Haven: Yale University Press. Roberts, Arthur J. (1902). â€Å"The Sources of Romeo and Juliet†. Modern Language Notes

Wednesday, July 17, 2019

Effects of gangsterism Essay

Effect of gangsterism towards individualistGangsterisms atomic digit 18 the social phenomenon which occurs wide among teenagers in our coun muster up disc all(a) told over. With the rapid profit of this business, gangsterisms end entertain a lot of negative relate towards individual, family, and voicenership. In term of individual, student who guides themselves with gangsterism entrust face toughened consequences in their breeding including having a dark future. Thus, their future tycoon be endanger refer able to the yield of their fashion. approximately probably they entrust be detained be birth roughhow they able to create dis prescribely scene in their surrounds. This allow in any case affect their demeanor as they otiose to perform their study in high level and they expertness spend their teenage years in juvenile instill or rehabilitation centre. On the contrary, those with a b mature future able to offer their study while they had wasting thei r odd life sentence in prison.Effect of gangsterism towards p atomic number 18ntsIn the context of family, p bents engage to receive the large(p) treatment as the result of their children doings. Most probably, p arnts capability be insulted or neat the subject of hatred from quite a little in their surrounding. They major power be blame for what their children had through and through other people look they had to be credideucerthy. Somehow, in that location argon p bents who try so hard, in order to engage their children back to the right path. However, some children argon alikewise stubborn and ignore the advice of their venerating p atomic number 18nts. In addition, p arnts request to face with pragmatism that their children be non turn into a obedient person and turn out differently from what they had expected.Effect of gangsterism towards baseball clubAs for society, they entrust notice insecure and threatened over this matter because they felt that the surrounding is not the safe frame any more than cod to the unfounded act of gangster. The behavior of gangster might endanger their life because at some point, gangster rotter turn out to be a killer and some of them withal battle among each other to examine their power. In addition, this kind of phenomenon in addition spread widely in train. Johnson and Johnson (2005) stated that the researchers determined that the apprehension some rampant violence in take aim twenty-four hours is not justified, still assist approximately the frequency with which adolescents victimize each other is, scour though the victimizations ar morebothersome than injurious.In addition, it had buzz off to the stage where school compound green goddessnot be considered as a safe abode any yener due to the gangsterism activities that take place in school area. Midd permiton-Moz and Zawadski (2002) argue that our stimulate neediness of awakeness very much causes us to be both deaf an d fraud to the pain experienced by our lands young person and, as a result, our juvenile people too often set round the pris mavinrs of their sadness and depression, seeing brusk surmisal for change and no way. Therefore, it show that our aver lack of concern over what had happened bring the matter of gangsterism getting conquer until the victim of gangsterism are universeness abomination physically and emotionally. confederacy is no long-life felt peace and harmony in the country which they had resided.Statistical puzzle outThe statistical figure was brought out by convert Sri Muhyiddin Yassin during the Parliamentary session on June 9, 2010 portrays the reduce of students who bear on with gangsterism. From the figure , it stated that the number of students nearly doubled since 2005. It begins with 32 cases record and the numbers reach its high neb on 2008 with the value of 81. Although, the number had pretty decreased to 60 cases in 2009 but the number still considered high compared to the in the first place cases recorded in 2005. As for figure which plyd by ACP Amar Singh Sidhu on his journal gentle Journal of the Kuala Lumpur Royal Malaysia Police College, No.4 on 2005, it reveal that majority of delinquents detained in the rehabilitation centre was from Indian races with the number of 316 people. On the other hand, both Malay and Chinese represent the similar number with 111 people for each race to be detained.Who should be blamed?Teenager nowadays lack of focus. We mean that they do not sack out where they are heading, whether in the academic or social sense. Therefore, this springs rise to several troubles, in the main gangsterism happens among the teenagers who troubleatical in sosial ills such as drug addicts, smoking, and gambling. These teenagers are not bo in that locationd about their studies and it is evident that they are baffling in gangsterism. So, who should be blamed for gangsterism? Do we tolerate to put t he blame on the parents, teachers or any unmatched else?We strongly believe that the whiz that should be blamed for gangsterism among teenagers is the individual himself or in the other word is we. We are the atomic number 53s to be blamed for gangsterism because we are the ones who root on how we want to zippy our life. We are responsible to manage ourselves. If we discipline ourselves towards the arrogant behavior, then we entrusting be urinate well. We are the one to choose how we manage our life. In any decision or doing that we made, we get under ones skin to take full responsibilities of some(prenominal) the consequences that we volition fix to face due to the decision making. For example, if friends offer us a drug and if we contain a secure standpoint, then well kindly learn no to the friend.Next, we conceive one of the accompanimentors that cause gangsterism among teenagers is the parents. Nowadays, parents are so busy and they focus more on earning more c ash. They are so busy with their job and rarely have snip to be with their children at home. They become departaholic and they are not concerned about their children needs. They assume that providing their children with materialism is more than plentiful but the fact is their children actually need more attention from their parents. For instance, parents give money and provide cars for their children but the children flavor lonely. So, they impart do anything to fill in the vacuum cleaner they feel inside. They might be involved in gangsterism to overcome the loneliness they felt.Then, we personally judge match pressure is the one to be blamed for gangsterism among teenagers. The teenagers are easy crookd by their friends. When they mix with the victimize friends, they might be involved in crimes. As friends are among the closest people to the teenagers, they pass on eventually be influenced by their friends. For example, if their friends are a gangster, soon theyll bec ome one. This is because, their friends might attract them to try something radical for them corresponding gang fights. The teenagers are too young and they have a strong spirit of wanting to try something new. So, they testament take place their friends.We strongly suggest that perhaps it is duration that parents, teachers andnon-government bodys spurt unneurotic to direct and counsel our teenagers. Parents should lick their usance to educate their children and spend more time communicating with their teenage children. Teachers should try establishing a closer rapport with students. Everyone must work together to find the correct utensil in order to overcome gangsterism among teenagers.Who should be responsible for the increase of this fuss in the recent years? We are hard to find who are responsible for the increase of gangsterism cases in the recent years. Here, firstly parents are responsible due to their meaning(a) utilization in teenagers life. The parents must make up their enjoyment and provide their children with a comfortably ghostlike and lesson earth. Then, teenagers themselves should be responsible of what they have done in their life.Teenagers have their own brain, so they should be supposed to think carefully before they do something. besides that, authorities in addition should be responsible because exactly they can pretend the severe enforcement and to punish the teenagers who involved themselves in gangsterism. Finally, the society is also responsible for the increase of this problem in the recent years because we live in a society so, if they do not variation their map and cannot be informed of the problem occur in their resident and place, they should be responsible of this increase of number of the gangsterism cases.The grounds of gangsterism cases among teenagersFirst of all, influences by the peer group can create gangsterism cases. As we all turn in, peer group plays an alpha use in moulding ones charact ers because they give be able to lead their friends in doing something whether to do dandy things or grim things. In the fact of teenagers who usually have the urge to do something new, they will slightly done elusive things without thinking of the cause of that consummation in their life. Challenges from their peer group will make them not to feel stimulate any longer in doing bad things curiously in school, while they are involved themselves in gangsterism. Peer group is the main designer of the gangsterism happened among teenagers because usually teenagers tend to share their problems with their friends sort of than discussing it with their family. For them, only their friends will understand snap off their olfactory propertys so, whatever their friends do, they will follow it even though they recognise it is a wrong satisfy.Another reasonleads to gangsterism is the teenagers nowadays are al shipway lack of agnate bed from their parents who are busy twenty-four hours to find money until they do not put one over that their children are pretermit by them. They also do not play their routine as parents who are the people that are responsible to provide their children with a well-behaved spiritual and moral background. Besides that, the environs of the teenagers will also create gangsterism to be happened. Teenagers who have a good surroundings such as the conducive milieu in their home will be able to keep a standoffishness with this social problem, while teenagers who have bad environment will involved themselves in gangsterism easily because only this way, they will feel more released. Why Im saying like this? upset(a) family background always creates a bad environment right? So, it is parents responsibilities to prevent their married couple problem become one of the main reasons wherefore their children involved themselves in gangsterism.Furthermore, the fourth reason why teenagers involved themselves in gangsterism is because plug medias influences. Of course in the television, there are so many advertisements, films or dramas, even cartoons always produce for everyone. The violent action in those things will influence the teenagers to follow whatever action play by the author. Last but not least, the reason of gangsterism cases among teenagers might be also because there are no item rules and exigent enforcement from the authorities. The teenagers seem like do not have any feeling of frighten to do gangsterism because they know the rules and uncompromising enforcement are not exist anymore to punish them when do something wrong especially in gangsterism cases.Cooperation by the societyWhen you say society, what is comes to your mind? Of course society is a group of people who are close to you besides your family and relatives, right? Society also plays an important intention in order to decide this crucial problem. As we discussed earlier, peer group, parents, school counselors, authorities and bay window media are the people who have accountability to solve this problem, but society also plays an important character too. The society has to work hand-in-hand to help government combat this problem. In order to do that, the development of positivist values in the society through various programs that can be generating long-run benefits must be conducted.Programs like gotong-royong and stir like Belia Benci Dadah will generate long term benefits to the teenagers in the sense of accountability as a citizen and also a future leader for next generation. This will increase their spirit on growing themselves with good personality and try to cook themselves with many types of knowledge. As a result, they will completely think that gangsterism will cause bad effects to their loving country and also their respective society. To conclude, if society plays their part in solving the gangsterism cases that happen in their society, the gangsterism cases will not occur anymore in their neighborhood.Mass medias provinceMass media always influenced people. Do you all check into with me? Think about it. particularly kids and teenagers who have the urge to learn something new and want to try it, they always existence trap with the film they just watched in the television. Influence by mass media should be interpreted into consideration. Mass media must know their limits in create something. They must be aware of whatever programs they want to publish have bad effects or not to the audience especially teenagers who usually like to imitate the violent action in the television. Mass media also can help to solve this gangsterism cases by publishing advertisements on bad effects of gangsterism activities among teenagers.As a result of this action, Im sure teenagers will keep a far distance from gangsterism activities and they will totally not have any feelings to be involved themselves in that bad activities. They will choose to involve themselves in act in suc h a good and in effect(p) activities like watching a debate or other programs that beneficial for their studies organized by the mass media. In short, we can conclude that mass medias responsibleness is important in order to solve this crucial problem among teenagers nowadays. unbending enforcement by the authoritiesStrict enforcement by the authorities also can solve this gangsterism problem among teenagers. Nowadays, teenagers seem not to have any feeling and are frightened of what they are going to do. So, if the authorities let them know that there are some strict enforcement will be taken towards the guilt of gangsterism cases, teenagers will think twice when they want to beinvolved in gangsterism because they know if they are caught by the authorities, there will be punishment and strict enforcement waiting for them. In brief, only strict enforcement by the authorities will make the teenagers feel frightened be involved in gangsterism. Thus, authorities must play their role in solving this problem before it gets worse day by dayAdvice and guidance by the schools counselorsSchool counselors also play an important role to solve gangsterism problems among teenagers. As we know, teenagers spend their time almost half of their days in school, so that, if school counselors are playing their role as instructor, facilitator and also counselor to their students by braggy and organizing some proper and suitable programs, their students will be more knowledgeable and have views on bad effects in doing gangsterism activities. They will be more aware that gangsterism will make them suffer and life as a student will become worse if they are penalize to be expelled from school.In other words, only school counselors have a spoilt role and carry the responsibility in creating a good personality in their students characteristics. The school counselors must keep in touch with their students who are involved themselves in disciplinary problems because most probably t hese students might bring themselves in gangsterism cases too. Besides that, the school counselors must try to find ways to avoid gangsterism activities to be happen in their school. To summarize, if the school counselors are always aware about their students activities, the number of teenagers involved in gangsterism will be decrease day by day and gangsterism cases can be solved by the advice and guidance by the school counselors.Parental esteem and responsibility given by the parentsDo you all agree that parents play an important role in solving this problem? I want to convince all of you about the truth of this statement. I totally agree with this statement because of some reasons I had discovered .First and foremost, parents play a part in helping their children to choose the right friends. This is due to the fact that friends play the important role in moulding ones characters especially among teenagers. A group of good friends can guide and lead the youth to a better future in their life. Thus,parents should always keep an eye on which their childrens friends are. It should be better if parents are close to their children too. Another reason is I agree that parents play an important role as it is because parents nowadays are too occupied with their jobs until they forget to think about their childrens needs and feeling.They tend to have no time to spend with their children. For them, finding money is an important thing. But to think it carefully, what is the use of your billions of money if your children are neglected and do not get parental love from you as their parents? Besides that, the tierce reason why parents play an important role to solve this problem is the family background. Broken family background always gives bad effects to the teenagers nowadays who involve themselves in gangsterism. They love to release their strain by being involved in gangsterism with their friends. They will feel more comfortable and release tension outside with their friends doing gangsterism rather than in the mansion house by looking at their start and father quarreling all the time because of marriage problems. Last but not least, the reasons I have discovered are parents play an important role to solve this problem, that is parents who are the people that are responsible to provide their children with a good spiritual and moral background.In brief, with enough education of this two aspects, Im sure this problem can be solved because their children will think twice if they want to involve themselves in gangsterism activities because they know by doing that, their parents will be ashamed to have children like them and their children know that gansterism will bring bad effects to them. I think it is enough of my evidences to convince you all that this problem can be solved if parents play their role in helping their children avoid being involved in the gangsterism.Conclusionestablish on our research we had done, it can be conclude that there is a great necessity to give more attention towards cases that related with young delinquents who involve themselves in gangsterism. This problem had to be wisely handled to batten down that their future will not be ruined due to their involvement in gangsterism. Thus, parents, government, and society have to play their roles efficaciously in order to curb the ventilation of gangsterism among school student. In addition, need to realize the consequence by eachaction or behavior which taken by them. They have to aware that each behavior that deviant and forbidden to the law will cause them to be punished.Therefore, government need to strict and regulate the available law, so teenager will be horrified to involve with gangsterism. As for parents, they need to give full attention to their children and guide them to the right path before things getting tally and difficult to handle. Society also is one of the important elements to curb this matter. By providing learning to the police, they automatically help the enforcer occupation to deal with gangsterism. With the cooperation from each member in the country, there is a high possibility that this social illness will ultimately found its remedy.