Wednesday, May 6, 2020

Comparing Nora From A Doll s House And Ophelia From The...

A Woman’s Life is Tragic: Comparing Nora from A Doll’s House and Ophelia from The Tragedy of Hamlet, Prince of Denmark William Shakespeare’s play The Tragedy of Hamlet, Prince of Denmark and Henrik Ibsen’s play A Doll’s House are both deemed tragedies, and thus in nature share many similarities. While common knowledge of what characteristics distinguish tragedy from other genres can lead readers and audiences alike to determine that Shakespeare’s Ophelia is a tragic character, it is much more difficult to determine whether or not Ibsen’s female lead character, Nora, is a tragic figure. In order to determine Nora’s status as a tragic figure, she will be compared to Ophelia, and there will be a thorough examination of her Greek tragedy traits. When examining the treatment of these two women, it is easy to recognize resemblances between them, but there are also strong contrasts. While these women face similar situations, their reactions set them apart and differentiate them from one another. Nora resembles Ophelia because she is unable to find a place in society where she can be respected and treated as an equal to a man, instead of being treated like property that is traded and owned. Partially due to the fact that she does not understand how society works, Nora has a weak sense of self. Above all, Nora is a tragic figure because she has a fatal flaw, or hamartia, which is her tendency to be manipulative and secretive. When Nora is compared with Ophelia she is most certainly

Nursing Fundamentals of Lung Auscultation

Question: Discuss about the Nursing for the Fundamentals of Lung Auscultation. Answer: 1. Severe dyspnoeacan be a cause of hypercapnia and hypoxia, consequences mainly from chemically tempted respiratory motor action. The severe breathlessness accompanying with severe hypercapnia is not an image of respiratory muscle action but quite a reflection of respiratory motor action. It has been found that acute breathlessness arises from amplifiedPCo2. Acute dyspnoeamay be associated with a pulmonary or cardiac abnormalities. Cardiac disorders that may precipitate dyspnoeainclude left ventricular systolic or diastolic dysfunction, intra-cardiac or extra-cardiac shunts, arrhythmias, pericardial disease, valvular disease, pulmonary hypertension and myocardial infarction (Janssen et al. 2011). The patient had a previous record of heart failure which suggest the presence of damaged heart muscle. Respiratory rate is an indicator of serious heart condition. 24 breaths/minute was the most important predictor of cardiac arrest in hospitals. Alveolar ventilation (a product of tidal volume and respiratory rate) is generally cautiously controlled by the activities of central and peripheral lung and chemoreceptors receptors. Ventilation is controlled by in cooperation of the arterial fractional pressure of carbon dioxide (PaCo2) and the arterial fractional pressure of oxygen (PaO2) with PaCo2being the most vital factor. The body efforts to treat hypercarbia and hypoxaemia by escalating both respiratory rate and tidal volume (Janssen et al. 2011). Thus these disorders can be spotted by assessing the respiratory rate. The patient showed a drop in oxygen saturation. It can be due to poor pulmonary function. According to Hoeper and Granton (2011), gaseous interchange could be changed even in mild failures. An arterialoxygen saturation rate under 90 percentorigins hypoxemia. This occurs when blood backs up in the pulmonic veins because the heart cannot keep up with the amount, initiating leak of fluid into the lungs and fluid accumulation in the tissues. It is very essential to note that once the oxygen saturation drops to between 80-85 percent it will rapidly fall away without the support of supplementary oxygen. Due to this cause that nurses should effort to keep oxygen saturations of a patient above 90 percent. The patient had a systolic pressure 170 and the diastolic pressure 95 which is a very high blood pressure of stage 2 level. The pathogenesis of high blood pressure can have different causes. Masip et al. (2012) and many other researchers have revealed a direct connection between the level and duration of elevated blood pressure and left ventricular hypertrophy. Diastolic dysfunction accompanied by LVH can lead to high blood pressure during heart failure. Sinus tachycardia was observed in the patient (pulse rate 110/minute). Tachycardia arises when an irregularity in the heart yields rapid electrical motions across the heart tissue. A heart failure that damage the heart tissue can cause it to accelerate (Masip et al., 2012). On auscultation crackles at the base of each lung must be caused by the opening of tiny air passages and alveoli collapsed due to exudate, fluid or lack of aeration during expiration. Pulmonary edema secondary to left-sided heart failurecan originate crackles (Bohadana et al. 2014). 2. First strategy to manage Mrs. Browns condition is to stabilize the declined cardiac output. In a short period (3-4 hours) planning of nursing interventions, the patient shall be contribute in actions that lessens the workload of the heart. After 24 to 48 hours of long term care, the patient should be capable to show hemodynamic strength. These nursing interventions include frequently monitoring of blood pressure and pulse rate because patient with heart problems can experience rennin-angiotensin mechanism; monitoring oxygen saturation and ABGs for checking the hearts capacity to perfuse distal tissues with O2 containing blood and implementing strategies to treat fluid and electrolyte inequities as it can reduce the danger for developing of cardiac output as a result of imbalances (Scherb et al., 2011). Providing oral care Q2 can be beneficial for conditions like Mrs. Brown. Venous congestion can result in increased capillary pressure. Fluid leaks out of the capillaries when hydrostatis pressure surpasses interstitial pressure. It can eventually cause edema in sacrum and legs. Elevation of legs upsurges venous reoccurrence to the heart (Felker et al., 2011). Monitoring distended neck veins and ascites indicates fluid overload. Oral care Q2 with diuretic therapy can be valuable for treating these problems. 3. IV furosemide constrains reabsorption of water in the nephron by checking the sodium-potassium-chloride co-transporter in the thick ascending limb of the Henles loop. This is attained via competitive reticence at the chloride binding sites on the co-transporters, therefore stopping the transportation of sodium from the lumen into the basolateral interstitium. Adverse effects of this drug includes chest pain, fever, weakness, loss of appetite, sore throat, pain in upper stomach and back, breathlessness, wheezing, difficulty in urination, dark colored urine and stool, nausea and vomiting etc. During the treatment with furosemide the renal function should be monitored and renal ultrasonography may be needed. If the patient possess any liver illness, regular checking of the electrolytes is recommended (Fleg et al., 2011). As the body adjusts to the drug during treatment these adverse effects may go away.If any of the problems continue to occur, a change in medication must be done. Glyceryl trinitrate is a vasodilating drug which relaxes vascular smooth muscle and reduces pulmonary vascular resistance by dilating both venous and arterial beds. It produces nitric oxide as an active metabolite which is a potent activator ofguanylyl cyclase. Nitric oxide proliferates the level of cGMPwithin the cell which in turn triggers myosin light chain phosphatase through cGMP-dependent protein kinase. A low blood pressure, headaches, diarrhoea, dizziness, nausea and vomiting are adverse effects of GTN. Caution is essential in vulnerable patients like Mrs. Brown. Reporting suspected adverse reactions after application of the drug is important. It allows sustained nursing of the risk factors of the drug.Lowering of the patient's head or elevation of the legs may be beneficial in case of mild hypotension (Ferreira and Mochly-Rosen, 2012). Estimation of arterial blood gas should be done for examining acidosis. Oxygen therapy can also be given in certain cases. References Bohadana, A., Izbicki, G., Kraman, S. S. (2014). Fundamentals of lung auscultation.New England Journal of Medicine,370(8), 744-751. Endres, M., Heuschmann, P. U., Laufs, U., Hakim, A. M. (2011). Primary prevention of stroke: blood pressure, lipids, and heart failure.European heart journal,32(5), 545-552. Felker, G. M., Lee, K. L., Bull, D. A., Redfield, M. M., Stevenson, L. W., Goldsmith, S. R., ... Anstrom, K. J. (2011). Diuretic strategies in patients with acute decompensated heart failure.New England Journal of Medicine,364(9), 797-805. Felker, G. M., Lee, K. L., Bull, D. A., Redfield, M. M., Stevenson, L. W., Goldsmith, S. R., ... Anstrom, K. J. (2011). Diuretic strategies in patients with acute decompensated heart failure.New England Journal of Medicine,364(9), 797-805. Ferreira, J. C., Mochly-Rosen, D. (2012). Nitroglycerin use in myocardial infarction patients: risks and benefits.Circulation journal: official journal of the Japanese Circulation Society,76(1), 15. Fleg, J. L., Aronow, W. S., Frishman, W. H. (2011). Cardiovascular drug therapy in the elderly: benefits and challenges.Nature Reviews Cardiology,8(1), 13-28. Hoeper, M. M., Granton, J. (2011). Intensive care unit management of patients with severe pulmonary hypertension and right heart failure.American journal of respiratory and critical care medicine,184(10), 1114-1124. Janssen, D. J., Spruit, M. A., Uszko-Lencer, N. H., Schols, J. M., Wouters, E. F. (2011). Symptoms, comorbidities, and health care in advanced chronic obstructive pulmonary disease or chronic heart failure. Journal of palliative medicine,14(6), 735-743. Katz, A. M., Konstam, M. A. (2012).Heart failure: pathophysiology, molecular biology, and clinical management. Lippincott Williams Wilkins. Masip, J., Gay, M., Pez, J., Betbes, A., Vecilla, F., Manresa, R., Ruz, P. (2012). Pulse oximetry in the diagnosis of acute heart failure.Revista Espaola de Cardiologa (English Edition),65(10), 879-884. Scherb, C. A., Head, B. J., Maas, M. L., Swanson, E. A., Moorhead, S., Reed, D., ... Kozel, M. (2011). Most Frequent Nursing Diagnoses, Nursing Interventions, and Nursingà ¢Ã¢â€š ¬Ã‚ Sensitive Patient Outcomes of Hospitalized Older Adults With Heart Failure: Part 1.International journal of nursing terminologies and classifications,22(1), 13-22. Tanai, E., Frantz, S. (2014). Pathophysiology of heart failure. Comprehensive Physiology.

Tuesday, April 21, 2020

Minimum Price for Alcohol

Why it can Prevent Excessive Consumption The government’s intention to set the minimum price for alcohol products is based on the concept of price floors. Under this concept, the minimum selling price is set above the equilibrium prices (Frank, Bernanke Kaufman 2007, p. 71). For example, equilibrium price for Grant’s whisky was 11 pounds before the proposal. However, it will rise to 11.42 after implementing the proposal.Advertising We will write a custom assessment sample on Minimum Price for Alcohol specifically for you for only $16.05 $11/page Learn More The increase in equilibrium price leads to a reduction in quantity demand. This is illustrated in figure 1 below. P 1 and Q1 represent the initial equilibrium price and quantity respectively. However, the equilibrium price will rise to P 2 after implementing the government’s proposal. When the price increases to P 2, the quantity demand will reduce from Q 1 to Q 2. This is because consumers will find alcohol products more expensive than they were initially (Frank, Bernanke Kaufman 2007, p. 73). This implies that raising the minimum price above the market equilibrium will reduce the consumption of alcohol. Figure 1: price floor P: price Q: quantity E: equilibriumAdvertising Looking for assessment on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More S: supply curve D: demand curv Why the Proposal will not succeed in this Case Influencing the consumption of alcohol through price control depends on the price elasticity of its demand (Frank, Bernanke Kaufman 2007, p. 94). The demand for alcoholic drinks such as beer tends to be relatively inelastic due to the following reasons. First, the prices of alcoholic drinks in UK are very low due to the promotions run by supermarkets. For example, the price of a bottle of wine is as little as 2.03 pounds. This means that the price represents only a small perce ntage of consumer’s income. Thus the demand for alcohol will be inelastic since the consumers will not be sensitive to price changes (Frank, Bernanke Kaufman 2007, p. 95). Second, alcohol is a necessity to those who are addicted to it. Thus unless its price is significantly increased, consumers will still purchase it. Finally, loyalty to particular brands of alcohol will encourage consumers to maintain their level of consumption even if the prices are raised (Frank, Bernanke Kaufman 2007, p. 97). These trends indicate that the price of alcohol must be increased significantly in order to reduce its consumption. Thus the government’s proposal will fail because its new price proposals are not significantly high. It is for this reason that earlier proposals fixed the minimum price at 50p instead of 38p as proposed by the government.Advertising We will write a custom assessment sample on Minimum Price for Alcohol specifically for you for only $16.05 $11/pag e Learn More Importance of the Concept of Scarcity and Opportunity Cost Scarcity implies that that the available resources can not satisfy all the needs of a country or a business (Pindyck Robinfeld 2009, p. 22). Scarce resources are only spent on projects associated with the highest levels of benefits. Thus scarcity leads to trade-offs when allocating resources. Trade-offs in this case means that some projects must be forgone due to lack of adequate resources. Such trade-offs are associated with opportunity costs which represent â€Å"the next best alternative† (Pindyck Robinfeld 2009, p. 23). Scarcity helps governments to realize the fact that they have limited resources. Opportunity cost on the other hand helps governments to asses the costs and benefits associated with their decisions in regard to resources allocation (Pindyck Robinfeld 2009, p. 23). Thus the main importance of the concept of scarcity and opportunity cost is that they help governments to make informed decisions on the use of their resources. This helps in maximizing the benefits resulting from efficient resource allocation. This can be illustrated by the alcohol market in UK. Scarcity in this case is represented by the fact that the government does not have enough resources to prevent the side-effects of alcohol consumption such as increased crime rate. The government must deicide on whether to promote consumption of alcohol in order to increase its GDP or reduce alcohol availability in order to protect the health of the citizens. This represents the trade-off that the government must make. Since the government has decided to reduce alcohol availability, the opportunity cost is represented by the revenue lost due to reduction in alcohol consumption. Thus the two concepts have helped the government to determine the level of alcohol production that is both beneficial to the producers and the citizens. Taxation of Alcohol, Cigarette and Petrol The above goods are taxe d for two reasons. First, they are taxed in order to generate revenue for supporting government operations (Pindyck Robinfeld 2009, p. 54). For example, the revenues are used to provide services such as education. Second, they are taxed to prevent market failure. Market failure occurs when the free market can not allocate resources efficiently (Pindyck Robinfeld 2009, p. 55). The above goods lead to market failure since their consumption is associated with negative externalities. A negative externality is â€Å"a cost not transmitted through prices, incurred by a party who did not agree to the activity causing the cost† (Pindyck Robinfeld 2009, p. 56). Air pollution is one of the negative externalities associated with the consumption of petrol and cigarette.Advertising Looking for assessment on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Increase in crime rate and road accidents are the negative externalities associated with alcohol consumption. Prevention of market failure through taxation is illustrated by figure 2 below. When the market equilibrium is at point E, the marginal cost associated with the private sector is less than that associated with public sector. This means that increasing the production of the good will be less beneficial. Thus in order to achieve the ideal equilibrium, pint D, the price must be raised to P 2. This is achieved through taxation in order to increase the price of the product. Figure 2: negative externality P: price Q: quantity E: actual equilibrium D: ideal equilibrium Reducing the Incidence for Alcohol Consumption Education Consumption of alcohol can be reduced if the public is educated on the effects of its consumption. As the citizens realize the side-effects of alcohol such as health risks, increased crime rate and road accidents, they will reduce alcohol consumption (Pindyck Robinfeld 2009, p. 66). This can be illustrated by figure 3 below. D 1 represents the demand for alcohol before introducing the education programs. At this level, the equilibrium price and quantity are P 1 and Q 1 respectively. After the education program, the demand curve will shift to D 2. Thus the quantity demanded at the same price, P 1, will reduce from Q 1 to Q 3. Following the reduction in demand, alcohol producers are likely to reduce the prices in order to encourage consumption. Consequently, the new equilibrium price and quantity will be P 2 and Q 2. The overall effect of education is that the quantity demanded will reduce from Q 1 to Q 2. Figure 3: demand-supply model P: price Q: quantity D: demand curve Taxation Taxation increases the price of alcohol. According to the law of demand, an increase in price translates into a reduction in the quantity demanded (Pindyck Robinfeld 2009, p. 67). Thus imposing taxes on alcohol will make it more expensive hence discouraging it s consumption. This can be illustrated by figure 4 below. Before imposing the tax, the equilibrium price and quantity will be P1 and Q 1 respectively. After imposing the tax, the price paid by buyers will increase to P2 while that received by sellers will reduce to P 3. Thus the quantity demanded will reduce from Q 1 to Q 2. Following the reduction in demand, the producers of alcohol will reduce the supply level. Thus the overall effect of taxation will be a reduction in the quantity demanded due to an increase in the price of alcohol. Figure 4: incidence of taxation P: price Q: quantity The Energy Market in UK In 2007, the government of UK introduced price control in the energy market (National-grid 2007). This involved lowering the prices of both electricity and gas. To achieve this objective, the government subsidized the production of both gas and electricity (National-grid 2007). The main goal of the price control was to lower the prices of gas and electricity so that many cit izens can afford to use them. Besides, the use of electricity and gas causes less air pollution. Thus the government intended to promote the use of the above sources of energy in order to conserve the environment (National-grid 2007). The success of this strategy can be illustrated by figure 5 below. Before introducing the subsidy, the equilibrium price was P 1 while the equilibrium quantity was Q 1. However, the price paid by the buyers reduced to P 2 after the introduction of the subsidy. The price received by the sellers increased to P 2+ Z, where Z represents the amount of subsidy per unit. Since P 2+ Z is higher than the initial equilibrium price, the sellers increased the quantity supplied from Q 1 to Q 2. The overall effect of the subsidy was a reduction in the price of electricity and gas as well as an increase in their demand. Figure 5: subsidy P: price Q: quantity S: supply Z: subsidy References Frank, R, Bernanke, B Kaufman, R 2007, Principles of economics, McGraw-Hill, New York. National-grid 2007, The use gas and electricity distribution price control, https://www.nationalgrid.com/. Pindyck, R Robinfeld, D 2009, Microeconomics, Pearson, New York. This assessment on Minimum Price for Alcohol was written and submitted by user Aria N. to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Monday, March 16, 2020

History and Background of the Kashmir Conflict

History and Background of the Kashmir Conflict Kashmir, officially referred to as Jammu and Kashmir, is an 86,000-square-mile region (about the size of Idaho) in northwest India and northeast Pakistan so breathtaking in physical beauty that Mugal ​(or Moghul) emperors in the 16th and 17th century considered it an earthly paradise. The region has been violently disputed by India and Pakistan since their 1947 partition, which created Pakistan as the Muslim counterpart to Hindu-majority India. History of Kashmir After centuries of Hindu and Buddhist rule, Muslim Moghul emperors took control of Kashmir in the 15th century, converted the population to Islam and incorporated it into the Moghul empire. Islamic Moghul rule should not be confused with modern forms of authoritarian Islamic regimes. The Moghul empire, characterized by the likes of Akbar the Great (1542-1605) embodied Enlightenment ideals of tolerance and pluralism a century before the rise of the European Enlightenment. (Moghuls left their mark on the subsequent Sufi-inspired form of Islam that dominated the subcontinent in India and Pakistan, before the rise of more jihadist-inspired Islamist mullahs.) Afghan invaders followed the Moghuls in the 18th century, who were themselves driven out by Sikhs from Punjab. Britain invaded in the 19th century and sold the entire Kashmir Valley for half a million rupees (or three rupees per Kashmiri) to the brutal repressive ruler of Jammu, the Hindu Gulab Singh. It was under Singh that the Kashmir Valley became part of the state of Jammu and Kashmir. The 1947 India-Pakistan Partition and Kashmir India and Pakistan were partitioned in 1947. Kashmir was split as well, with two-thirds going to India and a third going to Pakistan, even though Indias share was predominantly Muslim, like Pakistan. Muslims rebelled. India repressed them. War broke out. It wasnt settled until a 1949 cease-fire brokered by the United Nations and a resolution calling for a referendum, or plebiscite, allowing Kashmiris to decide their future for themselves. India has never implemented the resolution. Instead, India has maintained what amounts to an occupying army in Kashmir, cultivating more resentment from the locals than fertile agricultural products. Modern Indias founders- Jawaharlal Nehru and Mahatma Gandhi- both had Kashmiri roots, which partially explains Indias attachment to the region. To India, Kashmir for the Kashmiris means nothing. Indian leaders standard line is that Kashmir is an integral part of India. In 1965, India and Pakistan fought their second of three major wars since 1947 over Kashmir. The United States was largely to blame for setting the stage for war. The cease-fire three weeks later was not substantial beyond a demand that both sides put down their arms and a pledge to send international observers to Kashmir. Pakistan renewed its call for a referendum by Kashmirs mostly Muslim population of 5 million to decide the regions future, in accordance with a 1949 UN resolution. India continued to resist conducting such a plebiscite. The 1965 war, in sum, settled nothing and merely put off future conflicts. (Read more about the Second Kashmir War.) The Kashmir-Taliban Connection With the rise to power of Muhammad Zia ul Haq (the dictator was president of Pakistan from 1977 to 1988), Pakistan began its slump toward Islamism. Zia saw in Islamists a mean of consolidating and maintaining his power. By patronizing the cause of anti-Soviet Mujahideens in Afghanistan beginning in 1979, Zia curried and won Washingtons favorand tapped into massive quantities of cash and weaponry the United States channeled through Zia to feed the Afghan insurgency. Zia had insisted that he be the conduit of arms and weaponry. Washington conceded. Zia diverted large amounts of cash and weaponry to two pet projects: Pakistans nuclear-weapons program, and developing an Islamist fighting force that would subcontract the fight against India in Kashmir. Zia largely succeeded at both. He financed and protected armed camps in Afghanistan that trained militants whod be used in Kashmir. And he supported the rise of a hard-core Islamist corps in Pakistani Madrassas and in Pakistans tribal areas that would exert Pakistans influence in Afghanistan and Kashmir. The corps name: The Taliban. Thus, the political and militant ramifications of recent Kashmiri history are  intimately connected with the rise of Islamism in northern and western Pakistan, and in Afghanistan. Kashmir Today According to a Congressional Research Service report, Relations between Pakistan and India remain deadlocked on the issue of Kashmiri sovereignty, and a separatist rebellion has been underway in the region since 1989. Tensions were extremely high in the wake of the Kargil conflict of 1999 when an incursion by Pakistani soldiers led to a bloody six-week-long battle. Tensions over Kashmir rose dangerously in fall 2001, forcing then-Secretary of State Colin Powell to de-escalate tensions in person. When a bomb exploded in the Indian Jammu and Kashmir state assembly and an armed band assaulted the Indian Parliament in New Delhi later that year, India mobilized 700,000 troops, threatened war, and provoked Pakistan into mobilizing its forces. American intervention compelled then-Pakistani President Pervez Musharraf, who had been particularly instrumental in further militarizing Kashmir, provoking the Kargil war there in 1999, and facilitating Islamist terrorism subsequently, in January 2002 vowed to end the presence of terrorist entities on Pakistani soil. He promised to ban and eliminate terrorist organizations, including Jemaah Islamiyah, Lashkar-e-Taiba, and Jaish-e-Mohammed. Musharrafs pledges, as always, proved empty. Violence in Kashmir continued. In May 2002, an attack on an Indian army base at Kaluchak killed 34, most of them women and children. The attack again brought Pakistan and India to the brink of war. Like the Arab-Israeli conflict, the conflict over Kashmir remains unresolved. And like the Arab-Israeli conflict, it is the source, and perhaps the key, to peace in regions far greater than the territory in dispute.

Friday, February 28, 2020

Critical incident management operations based on an actual disaster Research Paper

Critical incident management operations based on an actual disaster event - Research Paper Example A disaster is an accidental and devastating event that occurs suddenly, causing adverse social and economic impacts in the population or environment it occurs. The effects may include physical injury, deaths, loss and damage on property, emotional and physical hardship, and obliteration of physical infrastructure as well as failure of operational and administrative systems. Before and during a disaster, emergency responders have to intervene to save lives, property and minimize the adverse effects caused by the disaster. However, the uncertainty or infrequency of disasters poses very great challenge for these responders to ascertain the effectiveness of their response strategies (Donahue & o’Keefe, 2007). Consequently, responders usually use various methods and experiences to enhance the manner they respond to similar disasters in the future. This paper will examine aspects of planning, response, recovery as well as mitigation during disasters and the manner the country can improve its response capabilities. The Three Mile high nuclear accident and Hurricane Agnes in the 1979 prompted President Carter and the Congress to establish the Federal Emergency Management Agency (FEMA) as well as the Emergency Management Council (EMC). This aimed at consolidating the responsibilities for disaster preparedness performed by the different federal agencies to one single agency (Mener, 2007). This came out of the belief that it was going to eliminate the communication and the fragmentation difficulties seen during the earlier disasters. With this order from the executive, all federal agencies that had responsibilities and capabilities of providing response during disasters to co-operate with FEMA. It also provided FEMA with the task of ensuring co-ordination in disaster preparedness and aid operations. Nevertheless, the

Wednesday, February 12, 2020

In 2014, why women still earn less than men in Canada Annotated Bibliography

In 2014, why women still earn less than men in Canada - Annotated Bibliography Example Additionally, the article describes changes in the female graduate earning across different years from 1988 to 2007. The trend facilitates easy comparison and understanding of the various differences that prevail amidst gender disparity. Based on the article, the first two to five years after graduation have female graduates earn 6% to 14% less than men. The distribution furthermore links job attributes and observable personal characteristics found in women as major drivers of gender wage differences between men and women. In this respect, Boudarbat and Connolly article proves worthwhile in not only explaining but also detailing reasons why women still earn less than men in Canada. Chapter three of Hobbs and Rice’s book focuses on poverty as a major problem in the Canadian society. The social assistance resulting from the process makes it difficult to ascertain employment security, housing and working conditions. Hobbs and Rice reiterates that the difference forces unequal distribution of wealth in the society especially in Canada where there is less social infrastructure. Based on the book, regardless of occupation, women earn less as compared to men. The risk is mainly prevalent in Aboriginal women who face illumination from policy antecedents. In addition, Hobbs and Rice identify unattached and limited involvement of the Canadian authorities as major factors that influence the ability of women to remove poverty from the Canadian society. Evidently, the rate of poverty is higher in the country as it was in the past 30 years. The main reason according to Hobbs and Rice directly links to wage disparity, which leaves women with no capital and investment. Therefore, the book is important for the research as it brings into light several factors that contribute to uneven earnings while providing effects in the hind sight. Chapter four of the book describes the role, effects and

Friday, January 31, 2020

Tax on Tobacco in the UK Coursework Example | Topics and Well Written Essays - 1000 words

Tax on Tobacco in the UK - Coursework Example Tobacco tax in the UK has increased over the years, data collected from the tobacco manufacturers association (2009) shows that in 1990 the amount of tax per 20 cigarettes amounted to 1.2 pounds while in 2009 the tax had increased to 4.34, the following chart summarises taxes over the years: The above chart shows an increase in the level of tax per 20 cigarettes for the period 1990 to 2009. However according to the ACT on tobacco and health state that despite this increase in taxes, tobacco taxes are only adjusted in line with the rate of inflation and therefore have no major effect on tobacco consumption. Tobacco taxes are imposed for various reasons, these taxes are imposed in order to reduce tobacco use in the economy and therefore improve public health. However, the price elasticity of tobacco is an important factor to consider when imposing the tax in order to determine whether the price increase will reduce consumption to the desired level. Price elasticity of demand refers to the decline in demand when the prices are increased, the price elasticity value identifies the sensitivity of demand to a price change, price elasticity value of negative one means that a 4% increase in price will increase reduce demand by 4%, a value greater than negative one example -0.05 means that the demand is price inelastic while a value less than negative one example -4 means that we have relative elasticity, the following diagram demonstrates the nature of these demand curves that are inelastic, unitary and elastic. (Gregory Mankiw, 2002) From the above diagrams, it is evident that in diagram one a price increase by one from price 1 to price 2 will reduce demand by one unit from quantity 2 to quantity 1, the price elasticity value here will be -1 and, therefore we have unitary elasticity.