Wednesday, July 31, 2019

Chinese Parenting vs. Western Parenting

English 101 Prof. Shapiro Chinese Parenting vs. Western Parenting Everyone who has come to America came for specific reasons: to make a living, to raise a family and, moreover, watch their children do the same. I grew up surrounded by family that only spoke about getting the best education, so that when we grow up we would be someone who carries on the family name, be someone who is renowned, that pronounced that whatever we were to thrive for throughout our lives, to make the best out of it. Just like Asian parents, my parents had certain expectations from my siblings and I as well.As I interviewed my father, I learnt the way he has helped raise us, is quite similar to my grandmothers. Even though they had the qualities of Western parents by being strict yet not destructing our self-image, their philosophy of raising children was similar to Chinese parenting, they stressed for us to achieve academic success. Combination of both has shown me how important persistent parents are. Educ ation was really vital to my parents upon growing up, they were always concerned about our homework, studying, meeting teachers at school and especially extra curricular  activities.They had several restrictions, yet they were vigilant; they didn’t bind us from having the liberty of our own, but it helped them steer us in the right pathway. I remember well, as soon as we would arrive home from school we were ordered to do our homework, and study for what was required, and if we fortunately had free time before going to sleep we were allowed to watch our favorite shows before going to bed. If we had a test the following day, we knew that we would have to watch television on the weekend instead. Even if we didn’t do as good as they would want us to on our test; they would still praise us for our effort.The praise was an element of Western parenting, gave essence to our relationship with them, I believe if my parents didn’t assimilate with us as well as they did, or embrace our flaws in a subject, our parents wouldn’t be as close and understanding to us. It gave me a sense of understanding that my parents understand me as well, and want for us to do as well as we can. â€Å"The concept of â€Å"self-esteem† was non-existence to them. When I asked my father what his parents expected of him he said, â€Å"well, they wanted us to do well in school but most importantly they wanted us to be disciplined. He said â€Å"we were made sure to greet our elders with respect, and if mistakenly we didn’t, we were put in out places right in front of them However, even though he follows his parents methods in raising us, he makes we understand it. â€Å"Once when I was young, maybe more than once, when I was extremely disrespectful to my mother, my father angrily called me â€Å"garbage† in our native Hokkien dialect† stated by Amy Chua in her essay, my father thinks otherwise, He would sit and talk to us about respect ing the elders, just so he knows he’s not damaging our self-esteem with shallow harsh words.Some of the activities we were restricted of included not going to sleepovers, it was part of the few things we weren’t allowed to do. However, they made it up to us by allowing us to attend birthday parties, as we started to get older. I never really understood as to why my parents would not allow us to do so, but I believe it was for our own benefit. Living in the United States with diverse religions, it was crucial to my parents to do whatever they could to preserve it. Whatever they have done, they take it as their most prized accomplishment. Since we were young, we were put in an Islamic school, from elementary till high school.We understood from a young age that religion was a significant part of our lives. When I began attending Islamic school in second grade, I had no idea why I wore the headscarf as the uniform along with long black dress-type clothing. As I got older a nd matured I understood my religion with greater insight, and along with that I understood why our parents put my sister and I in an Islamic school. As I got to high school, it was as if my parents left the understanding of Islam upon us, that’s where I recognized the western qualities of their values, they now understand that the insight we have is going to last with us forever.Now that we’ve grown up friends of my parents ask them how they have raised such children, as it is hard to achieve that here in America, which is always answered with â€Å"a little control goes a long way. † Comparing the two styles of parenting, we’ve seen the struggles they’ve been through to get us where we are today, and it is only fair that we do the same in return even though it may never be enough, we know that they would appreciate it just as much. Word Count: – 863

Tuesday, July 30, 2019

Within the Context of 1789-1890, Was the Unification of Germany a Result of Economic, Political or Military Forces?

Numerous factors have lead to the progressive creation of a unified Germany by 1871; such factors are fundamentally related to economic, political or military origins. To accurately understand the reasoning behind the unification, one must look at the history preceding it – The after-effects of the dissolution of the Holy Roman Empire; The significance of the French revolutions and Napoleonic Wars on Germanic national identity; the degradation of Austria’s national power; the introduction of the Zollverein in 1834 and the Prussian economic superiority that followed in addition to the industrialisation of the German states all contribute towards economic and political factors relating to the formation of a unified Germany under Prussia’s direction. Military factors contributing towards the unification of Germany include the defeat and exile of Napoleon Bonaparte; Otto Von Bismarck’s foreign policy based strongly around ‘realpolitik’; the significance of the ‘New Model Army’ on Prussia’s military prominence in addition to the conclusive Franco-Prussian war. The Germanic region is immersed in a rich cultural heritage extending back, within the context of recorded history to a wild, untamed land coupled with the indomitable spirit of the indigenous people who populated it. Numerous tribes took residence within Germania including but not limited to the Saxons, Franks and Chatti. Several centuries on, the Frankish territories within Germania had spread across the Central European landmass under the tactical prowess of Charlemagne to encompass large parts of Western Europe and Northern Italy, thus forming â€Å"Teutonicorum† or â€Å"Germanic Realm†. This newly formed empire was later consolidated by Otto the Great to become the Holy Roman Empire and is considered by numerous historians as the formation of the First Reich. The period from 936 C. E onwards saw the further expansion and consolidation of the Holy Roman Empire’s territory; this territory was however still rather localized to the Central European landmass. The conglomeratic nature of the Holy Roman Empire’s territory in addition to Otto the Great’s ecclesiastical reformations and papal disputes provide a poignant appreciation to French philosopher Voltaire’s phrase (1)â€Å"This agglomeration which was called and which still calls itself the Holy Roman Empire was neither holy, nor Roman, nor an empireâ€Å". Nevertheless, the Holy Roman Empire laid immeasurable foundations in the construction of a modern Germanic national identity; this national construct was further built on by the shared linguistic and cultural background of the denizens of Central Europe and as such, the importance of this rich heritage in the creation of a unified Germany must not be neglected. Analysis must be made in order to quantify the involvement economics played in the unification of the German states. The main economic impact on the Germanic states pre-1834 was the French Revolution and subsequent Napoleonic Wars, the French Revolution in particular stemmed partly from an economic crisis based in France; although providing unseen benefits that later amalgamated into the creation of a unified Germany, the wars were extremely taxing on the German states, such an economic drain arguably perpetuated the view that the German states would be unquestionably stronger if they were unified economically with consideration to the possibility of a future surge of French imperialism. After the creation of the German Confederation via the Congress of Vienna, inter-state trade began to increase but was severely limited by individual state tolls on goods passing through their respective territories, as such; Prussia introduced the Trade Reform Act 1818 which effectively removed intrinsic customs tariffs boosting internal trade massively. From this sphere of economic influence, neighbouring states began to adopt a similar tariff system in the interest of long-term economic growth. This indoctrination of sorts paved the way for the rapid economic development of the states that had adopted Prussia’s tariff system. Not only did this economic revolution increase the wealth of the states that adopted it, it also laid the foundations for an economic national identity which became synonymous with interstate politics. The increased political involvement between states can only be looked at positively when attributing its involvement in the creation of a unified Germany, with such involvement taking place, it is apparent that the German Confederation was already beginning to function as a single entity. With the boost in economic co-operation came a degree of cultural integration as a result of the increased inter-state involvement. It can certainly be argued that the introduction of the Trade Reform Act and the resulting economic co-operation contributed to the formation of a unified Germany. The positive effects of the newfound increased economic co-operation were further exemplified by the introduction of the Zollverein in 1834. The Zollverein’s influence furthered a national identity, both through the solid participation of the constituent states of the German Confederation and ‘monuments’ under which unification could prosper such as the customs-parliament and the formation of a governing body of the economic aspects of the German Confederation. The synonymous nature of economics and politics meant that it was only a matter of time before the latter was formalized just as the economic union of states had been formalized by the Zollverein. With the Zollverein came a rapid increase in foreign trade which bolstered the confederation’s economic armoury as a result of commercial treaties with Holland, Britain and Belgium. Not only did this bolster the Prussian-dominated Zollverein’s coffers, it paved the way for a diplomatic stability with the nations; the fact that it is arguable that the majority of the states within the German Confederation were interested in international relations is further indicative of the collective will of the Germanic states to be unified. A further benefit towards unification that the Zollverein brought was the industrialisation of the German states as a result of the increased trade and wealth that the Zollverein had provided; this industrialisation emerged primarily with the introduction of the railways. Not only did the railways further bolster trade and strengthen the bond that the Zollverein had provided for the German states, it removed a large portion of pre-existing inter-state cultural segregation and local prejudice as a result of the increased social and cultural contact made available by the addition of the railways to the German Confederation’s transport system. An additional economic aspect that must not be neglected is the effect the Zollverein had on Prussia’s main rival for unification – Austria. Due to the fact that the Zollverein was fundamentally born from the Prussian womb as a result of previous success of the Tariff Reform Act, it allowed Prussia to refuse entrance of the Zollverein to Austria despite three arguably frantic attempts to join in 1852, 1853 and 1862. This further weakened Austria’s hold over the German Confederation and as a result, it became more apparent that Prussia was to lead a unified Germany. The fact that one nation had clear dominance within the German Confederation provided a rallying point for German states under a Prussian banner and furthered the now Prussian-biased ideology of German dualism. It is also possible to consider that the German states may have used the example of Prussian economic solidarity and political dominance as a justification for a Prussian-lead unified Germany. In contrast, Lombardy was annexed to the Kingdom of Italy during 1859 as a result of the Second Italian War of Independence, further weakening Austria’s economic position due to the fact that Lombardy was a significant Austrian trade hub; in addition, this led to the defeat of the Hapsburg family. The war was a catalyst for liberalism/nationalism. From a political point of view, it can be said that political activities both intrinsic to the German states and extrinsic such as political ideological revolutions across Europe contributed to the unification of Germany. The political effects Napoleon exercised on the Germanic states and their relevance to German unification almost a century later must be appreciated in order to properly understand the political basis for unification. A principle factor was the continuation of the War of the Second Coalition and the subsequent Peace of Luneville. Although initially enforced to allow easier management of German territories, it can be argued that Napoleon had unknowingly paved the way for German nationalism. German nationalism was further exemplified by the martyr Friedrich Staps(2); his attempt on Napoleon’s life and subsequent refusal to denounce his will to assassinate Napoleon after being asked by Napoleon whether he would thank him if he was pardoned became a beacon of unification and furthered the German nationalist identity; he was quoted as saying â€Å"Long live freedom! Long live Germany! † before being executed by firing squad. The fact that an attempt on Napoleon’s life was made in the first place is strongly indicative of an inherent nationalist awareness and disagreement with French hegemony; collating to form a strong will for unification under a single identity. The Congress of Vienna was a further spoke in the wheel of unification. Although initially intended to reconsolidate existing Germanic states and quash nationalist views, the German Confederation was formed which can be considered a major step towards unification; this further amalgamated German states and as a result of the denomination of the states under a single name, caused political arguments over who should rule the confederation. Although political tensions were fierce between Prussia and Austria, it can be considered positive that there was a title of ‘ruler’ of the German Confederation to quarrel over at all; this is highly suggestive that most German states had unification to some degree planned or had at least considered it by 1820. What the Congress of Vienna did not take into account however was the growing economic power and ambition of Prussia. The Zollverein further reinforced Prussia’s political influence over the majority of states within the German Confederacy and continued to isolate Austria – Prussia’s main contender for the crown of unification due to the lack of inclusion within the Zollverein. In addition to Austria’s waning political influence as a result of the Zollverein, Prince von Metternich’s resignation in 1848 brought an end to Austria’s largely protectionist policy and allowed for a continued nationalist view with Prussia firmly secured to unify Germany. This nationalist â€Å"will† to become a single nation is supported by Heinrich von Treitschke, a German nationalist historian’s statement (3)â€Å"Every virile people has established colonial power. All great nations in the fullness of their strength have desired to set their mark upon barbarian lands and those who fail to participate in this great rivalry will play a pitiable role in time to come. † From a nationalist point of view, it is suggestive of the yearning that citizens of the German states had to be a part of the new world that was forming as a unified identity. As a result of the degeneration Austria was experiencing, Frederick William IV of Prussia took control of German Confederacy affairs and called the Frankfurt National Assembly. Although the assembly was hugely biased towards the middle class populace, boasting 325 middle class delegates and only 5 of a working class background, it was not the fact that it was unsuccessful, it was the fact that delegates from the Germanic peoples met at all. Although Frederick William IV declined the crown mainly due to opposition from the other German princes in addition to strained relations with Austria and Russia, he quickly summoned the German princes to Erfurt to create a plan to unite Germany. The activities that transpired during the Frankfurt National Assembly indicated a step away from autocracy and a step towards a constitutional monarchy, suggestive that a unified Germany was imminent. Perhaps the greatest political influence on the unification of Germany was Otto von Bismarck. He has been described by William Carr as (4) â€Å"a giant among pigmies† due to his political and diplomatic influence. Bismarck was appointment as Minister President of the Kingdom of Prussia in 1862 and had a profound effect on nationalism and the foreign policy of the German Confederation. Bismarck’s progressive domestic policy can be considered a great stepping stone towards unification. One such subjectively important measure Bismarck took was the secularization of the Klein Deutschland via the May Laws; these laws helped delegate power to the state therefore strengthening the Reich’s position within society. A principle factor of the May Laws relating to the continued unification of Germany was the state’s newfound governance of education over the Catholic Church; this helped promote modernist ideas to the future German population, thus allowing Germany’s continued survival in a progressive world post-industrial revolution. Additionally, Bismarck’s social welfare reforms further strengthened the fabric of the new society that was beginning to flourish. The introduction of sick pay in 1883 and pensions in 1889 helped quell the large socialist unrest which can be said to have helped towards the social stability of the nation. Bismarck’s foreign policy also provided a basis for the unification of Germany. Bismarck took a strong political stance of diplomatic isolation and pacification. Bismarck’s primary aim diplomatically was to maintain good relations with Russia and Austria and prevent a Franco-Russian alliance through the League of the Three Emperors as Bismarck realised that if diplomatic relations broke down with Russia, there was a strong possibility that Germany could be hit from both the Eastern and Western fronts. Bismarck maintained a â€Å"three against two† diplomatic philosophy; he is quoted as saying (5) â€Å"you forget the importance of being a party of three on the European chessboard. The foreign policy Bismarck employed enabled the diplomatic isolation and subsequent defeat of both France and Austria, the two main barriers standing in the way of a unified Germany. Following the unification, Bismarck employed a clever aggressive diplomatic move in the shadow of the Congress of Berlin’s negative effects on relations with Russia. A dual alliance was formed with Austria in 1879 in order to both coerce Russia into seeking a clos er diplomatic relationship with Germany and to secure Germany’s southern border in the event of a diplomatic breakdown with Russia. This was a very wise move on Bismarck’s part as it further pacified a real threat to Germany’s continuity. A further show of Bismarck’s diplomatic engineering unveiled itself in light of the Spanish revolution; As a result of the uprisings, the throne of Spain became available. Tensions between France and Prussia had escalated beyond all measure as a result of an offer to a German Prince to take up the throne and war was declared between France and Prussia as a result. The diplomatic supremacy portrayed by Bismarck aided greatly in the provocation of a Franco-Prussian war and as a result of the French defeat, aided greatly in the unification of Germany with one of its major enemies defeated. The Napoleonic wars and the resulting military encounters may be looked upon as a catalyst for the unification of Germany, a common â€Å"wartime enemy† gave the citizens of the German states a common goal which cumulated with the significant Prussian role within the Battle of Waterloo and the heroism shown by Gebhard von Blucher’s troops. The German revolutions of 1848 may be considered a military catalyst towards German unification. During the revolutions, Austria was mainly preoccupied with the First Italian War of Independence; this coupled with Prussia’s newfound superiority within the German Confederation meant that the German states relied upon Prussia to assist with the uprisings, this reliance further strengthened the political role Prussia played within the German Confederation and took the states one step closer to unification under a Prussian banner. The first major military effect on the unification of Germany came with the realisation in 1859 that the Prussian army was ineffectively trained and archaic, Albert von Roon, war minister of Prussia proposed the Army Bill of 1860. It planned to substantially increase the size of the Prussian army and improve its equipment; furthermore, national service was to be extended. The bill was passed by Bismarck in 1862 contrary to liberal opposition and hence the â€Å"New Model Army† was created. Despite continuous liberal opposition to Bismarck’s policies, as a result of the success his policies had, liberal support for him did grow. This is supported by the American historian Peter Viereck: (6) â€Å"The liberal university professors, Metternich's fiercest foes and now so prominent in 1848, were often far from the cloudy idealists pictured in our textbooks. From his own viewpoint, Bismarck erred in mocking their lack of Realpolitik. The majority†¦ as more Bismarckian than Bismarck ever realized. Many liberals†¦ later became leading propagandists for Bismarck, along with the new National Liberal Party,† Danish annexation of Schleswig brought the modernized German army to life and in February 1864, a combined Prussian and Austrian force crossed the Danish border into Schleswig. The Danish army consisted of around 40,000 troops and was swept away by a force superior in numbers, equipment and tactics. The Second Schleswig War accumulated into a victory for Prussian and Austrian forces, resulting in the re-annexation of Schleswig and the acquisition of the duchy of Holstein for both nations. This military move allowed Prussia to re-affirm its dominance and perpetuated to the German states that it was capable of defending its territories if provoked; this furthered nationalist views within the German states and contributed towards a unilateral notion that Prussia was able to lead a unified Germany. A further military factor of unification displayed by Prussia was the Austrian-Prussian war in 1866; through Bismarck’s diplomatic puppeteering, Austria declared war on Prussia. Austria was quickly isolated diplomatically and militarily. This isolation coupled with the Italian mobilization for the Third Italian War of Independence meant that Prussia had hit Austria at its weakest; Austria was quickly overwhelmed resulting in the loss of a thorn in Germany’s side. In addition to this, Austrian influence on German states waned due to both the defeat itself and that it became apparent that was unable to focus on the affairs relating to German states. This further solidified Prussia’s hold over both the states themselves and the Zollverein. Austria’s defeat also resulted in the further diplomatic isolation of France which would later aid Prussia in the Franco-Prussian war and make the path to unification more straightforward. By 1870, Prussian dominance was prolific across the German states, primarily as a result of the Prussian show of military force in the Second Schleswig War and indeed the Austrian-Prussian War. The interstate alliances that were formed meant that any European aggression on a German state would result in action being taken from all German states allied with Prussia, it was apparent from such diplomatic relations that the German states were at this point a pseudo-nation of sorts. As a result of the diplomatic breakdown over the Spanish crown, War was declared by France on Prussia in the summer of 1870. Napoleon III decided to invoke a strategy similar to his uncle’s strategy several decades ago however, the war was soon lost as a result of the unified German states being able to co-ordinate in addition to the Prussian military might resulting from the earlier Army Bill of 1860 in addition to the experience it had gained from the Schleswig-Holstein conflict and the Austrian-Prussian War. The British historian A. J. P Taylor summarized Napoleon III’s failure to take into account a key factor of his strategy (7) â€Å"Like most of those who study history, he (Napoleon III) learned from the mistakes of the past how to make new ones. † The importance of the military must not be neglected when considering the factors relating to the unification of Germany. The seeds of nationalism were planted at the turn of the 19th century as a result of the Napoleonic Wars. Military action formed a cornerstone of Bismarck’s foreign policy which subsequently can be considered a key piece of the unification. As a result of the modernization of the Prussian army, it was able to exert its dominance over both Denmark and Austria – the main contender to unify Germany and a stark opponent of the militaristic manner in which Bismarck was conducting in order to do so. Prussia was also able to eliminate France as the main rival to the formation of a unified Germany and prosper from the post-war reparations that France had been forced to pay both financially and in terms of territory thus aiding the continuity of the newly formed Germany. To conclude, it may not be accurate to attribute the unification solely, or even primarily to one set of factors but to a broad spectrum, each with their own significance, relevance and effect on other factors, for example; the Franco-Prussian war may not have resulted in a victory for Prussia had the Army Bill of 1860 not have been passed, nor would Prussian economic dominance be exerted in the later 19th century if the Zollverein had not been introduced in 1834 and as a result, Prussia may not have had the funds to introduce the Army Bill in the first place, this is testament to the theory that the economic, political and military factors relating to the unification of Germany are linked and as such, a denomination cannot be made towards the prevalence of one but indeed the combined significance of all of these factors. These interwoven strands of fate may be recognised by the Borussian Myth, a theory perpetuated by 19th century nationalist German historians such as Heinrich von Tr eitschke and Theodor Mommsen. The Borussian Myth states that German unification was inevitable; it is based off a teleological argument which suggests that all factors of an event are directed toward a final outcome. This theory is contrasted by post World War II historians searching through the immediate German past in order to better understand the root causes of World War II. It was progressively realised that Prussia was not the centre of German culture as suggested by the German nationalist historians of the 19th century and that 19th century German history wasn’t entirely centred on Prussian success attributed to accumulative fate but a time of great social, economic and cultural change for the German states. Although the Borussian Myth may be flawed by nationalist bias, the linked significance of the factors relating to the unification of Germany does suggest that Prussia was â€Å"destined† to unify Germany to some extent. Nevertheless, the unification of Germany cannot be attributed to one set of factors, but a precise combination of all factors executed with crucial timing whether intentional or not, sprinkled with a dash of luck.

Monday, July 29, 2019

Effect of FDI on Chinas Technological Status Essay

Effect of FDI on Chinas Technological Status - Essay Example The researcher states that China is an emerging economy and has continued to experience great economic success starting about thirty years ago when the country achieved economic liberalization. China has successfully participated in trade and investments at the global level, thus is well integrated into the economy at the global level. Most importantly, the FDI inflows in China today are considerably high and the many foreign firms in the country continue to enhance its growth economically. Technology being a critical component of any country’s economy remains highly crucial for the development of any country, including China. In China, the policymakers have in the recent years paid great attention to technological development in the country and the major aim is to make China a technologically sophisticated country. Being an important component of the economy, it is no doubt that FDI in China influences the country’s technology. China has experienced a remarkable increa se in its FDI, and this has continued to grow to start from the mid-1980s. The paper shows data on the yearly FDI inflows of China between the year 1985 and 2014 and this exhibits an increase in FDI inflows in China, even as this stood at $2 billion in the year 1985 and grew to reach $128 billion in the year 2014. In all the developing countries of the world, China ranks among the four largest receivers of FDI and in the year 2014 estimates by the United Nations indicated that China was the worlds largest destination for FDI inflows and Hong Kong and the United States followed behind. It is predicted that there will be persistent FDI inflows in China even in the future because currently, they are still modest. Foreign companies contribute immensely to the growth of the economy in China, even as these are the source of FDI in the country. These foreign-invested enterprises remain core to Chinas foreign trade even as they continue to contribute to the growth of foreign trade in China. In the year 2014, foreign companies accounted for 46.3 percent and 45.9 percent of Chinas imports and exports respectively, even though the peak was experienced in the year 2006 when the percentage of imports and exports accounted for by the foreign companies were 59.7 and 58.2 respectively.

Sunday, July 28, 2019

Gas turbine engine basics Coursework Example | Topics and Well Written Essays - 2000 words

Gas turbine engine basics - Coursework Example (Sherwin, Keith & Michael, Horsley, 1996). Fuel is mixed with air and ignited this is where energy is added to the gas stream in the combustor. The temperature increases combustion of the fuel in the high pressure environment of the combustor, the products of the combustion are forced into the turbine section. Directed through a nozzle over the turbine’s blades is the high volume and velocity of the gas flow this spins the turbine which powers the compressor and, in some other turbines, this drives their mechanical output. The reduction in the pressure and temperature of the exhaust gas comes from the energy given up to the turbine moreover, energy can also be extracted in the form of shaft power, compressed air temperature can be used to power ships, trains, aircraft, tanks, and generators. (Husain, 2010) Task 1 There are 5 basic models of a turbo fan high bypass engine. This involves the first stage compressor that is drastically enlarged for the provision of bypass airflow around that core of the engine. This also allows for a significant amount of thrust. Turbo Jet Engine Air Inlet Combustion Chambers Turbine Propelling Nozzle Compressor Diagram of turbojet engine As depicted in the diagram above, a Turbojet engine comprises of the intake, compression, combustion, turbine and exhaust sections. The compression chamber directs the incoming air into the combustion chamber at relatively a high velocity. The combustion chamber is equipped with igniters and nozzles that enable combustion. During this process of combustion, the expanding gas is then utilized in rotating the gas turbine and keeps the engine operational as the compressor is driven through the shaft (Turbine Engines). nc = T2 – T1 T2a – T1 and n4 = T3 – T4a T3 – T4 Applying the steady flow energy equation, v20 - v21 = 2(h1 – h0) Change in kinetic energy and change in enthalpy: v20 = 2cp(T1 – T0) Work output from the turbine balances the work input into the compressor, hence equating change in enthalpy results in: cp(T2a – T1) = cp(T3 – T4a) T2a – T1 = T3 – T4a [cp is constant] Airflow through the nozzle: v25 = 2cp(h4a – h5) Since velocity is constant, v4 = v1 ? 0 Exit velocity at the nozzle: v25 = 2cp(T4a – T5) Therefore, Thrust, F = mvc - mv Thrust = m(vc – v) The net exhaust speed of turbofans is much lower than that of a turbojet and as a result, this makes them much more efficient at subsonic speeds than turbojets, also they are more efficient at supersonic speeds up to Mach 1.6. Turbofans are the jet engines that are used in all currently manufactured commercial jet aircraft. During the intake phase in the turbofan engine, the pressure, temperature and volume of the gases remain constant. The fan is installed at the inlet of the engine to increase the amount of air flowing through the engine at any given time. Part of the inlet airflow is not directed toward the compressor, co mbustor, and turbine during this process, but is rather bypassed through a duct, which ends in a nozzle. This provides thrust through exchange of momentum with the airframe, because the gas leaves the nozzle at a speed that is higher than the intake velocity. Their high efficiency and relative quietness in operation is the main reason their high efficiency and relative quietness in operation is the main they use them commercially, many military jet aircraft also make use of turbofans.

Morality subject, the rights and wrongs on Abortion on A Catholic Essay

Morality subject, the rights and wrongs on Abortion on A Catholic viewpoint - Essay Example This was the message of Cardinal Renato Martino, who was president of the Pontifical Council for Justice and Peace. Moreover, according to Martino, the stance of Amnesty International which is to uphold human rights above specific theologies and the right of the unborn child to live may trigger opposition from the Catholic Church and various anti-abortion organizations but may actually inspire others to cut the life of the unborn child if they feel they have to. Nevertheless, regardless of people’s stance on abortion, the act is considered a moral wrong based on Catholic theology. Based on Catholic theology, abortion is wrong because of several reasons. First, according to De Marco, the immoral nature of abortion depends on â€Å"the presence of hundreds of thousands of non-Catholic individuals who actively oppose abortion, together with the existence of many anti-abortion groups who are affiliated with non-Catholic agencies and institutions†3. Although this may be logi cally a fallacious statement since it is based on the idea of the absolute and unquestionable rightness of the majority of population, the opinion still has practical value. Although practicality is not necessarily synonymous to what is morally right, it is certainly undeniable that the opinion of the majority matters for any institution, including the Catholic Church, is made up of this majority. ... Moreover, since it is not only the Catholic religion that pushes for the respect for the life of the unborn child, then these reasons for the wrongness of abortion are therefore â€Å"not peculiarly Catholic†5. It therefore reflects the sentiments of various other religions. Although it would be rather exhaustive to explain in this paper, there is basically no religion that condemns life. This mere fact therefore tells us that basically life is precious and these religions, which have been established by learned people and intellectuals, may not be that wrong. The stance of the Church itself on abortion is only implied in the Canon law but â€Å"the very fact that there have always been canonical penalties for abortion is a reflection of the Church’s position that abortion is a grave evil†6. Nevertheless, there are specific teachings of the Catholic Church against abortion. In fact, according to the Catechism of the Catholic Church #2271, â€Å"Direct abortionâ € ¦willed either as an end or a means, is gravely contrary to the moral law [and] are abominable crimes†7. It is very interesting to note the phrase â€Å"willed either as an end or a means† for it implies that even if abortion were used to save the mother’s life, just like what modern oppositionists are claiming, abortion is nevertheless a crime. It therefore does not make abortion right even if it were used as a means to save a person’s life. The Catholic Church therefore maintains that the functionality of an object or a concept cannot guarantee its spiritual value. Moreover, contrary to what science has determined, for the Catholic religion, â€Å"the exact time when the fetus becomes ‘animated’ has no practical significance

Saturday, July 27, 2019

War Against Terrorism Assignment Example | Topics and Well Written Essays - 500 words

War Against Terrorism - Assignment Example The war is now affecting even the people who are not directly involved (non-combatants) in its path, and this leads one to question the constitutional rights being violated by the American war on Iraq. This paper will examine the constitutional issue being impacted by this war, and what can be done to eliminate all possible constitutional violations on both sides. After the 9/11 attacks, the American government opted to take away or amend some constitutional rights enjoyed by the American people. It is believed that after the attack, Americans were asked to give up some fundamental rights in order to address the war on terror. Due to fear and uncertainty, people were willing to give these up, not thinking of the future days. It is sad that free people had to give up their civil liberties in order to acquire temporary safety and liberty. This is what most people are up in arms against today, and if the continuous wars are anything to go by, more lobby groups are going to stand and fight for the long forgotten American freedoms. Sadly, America’s allies are also feeling the pressure placed on them by the United States, and are being forced to do the same in their home countries in order to ‘protect’ their citizens from unforeseen threats (Nabeel, Howell & Shryock, 2011). Internationally, the United States is affecting the constitutional rights of the Iraqi government and people by attacking their national sovereignty. There might be a pretext that there is fostered co-operation between the two nations, but this is only what the American government wants people to think. The Iraqi government may be strong-armed to accept the conditions of the American government, while its people are being killed and maimed in the name of the war on terror (Herman, 2011). The trammeling of rights on both sides is alarming, and with advancement in technological fields, there is no telling

Friday, July 26, 2019

Nursing shortages and Obamacare Research Paper Example | Topics and Well Written Essays - 750 words

Nursing shortages and Obamacare - Research Paper Example In addition, if the health care reform is adopted, it may enhance the number of people who need health care assistance to the number of those requiring health care services. One of the largest worries for health care directors is whether the nursing institutions in the United States can provide sufficient graduates to swap nurses who will consequently be departing from the nursing profession, and to meet the enhanced need in the imminent years. The Obama health care reform demands that all American citizens to be insured. It is presumed that there will be an enhanced need for workers in the nursing profession. There is a concern for nurses trained in American soil because it is assumed that the recruitment program proposed by the Obama health care reform will hinder their capacity to acquire positions in the nursing field after the completion of their nursing program. In the future, there will be an amplified nurse shortage. This is because the present nursing shortage will not lead to the creation of new nursing opportunities. An increase in nurses’ demand will probably amplify the ratio of nurses to patient and endanger the safety of patients. The National Healthcare Organization predicts that the whole of United States’ Health care system will collapse because nurses are perceived to be the foremost basis of all health care (Feldman, 2011). There will be not sufficient nurses to meet the large ratio of patients to nurses. Currently, the nursing profession faces a number of challenges. First, the safety of patients is compromised due to the shortage of nurses. The few nurses are forced to carryout additional duties so as to compensate for their inadequate numbers. There is a risk of errors being made by the few nurses due to extreme work load, fatigue and burn out. The dangers are enhanced when these nurses work for extra numbers of hours than they are required. When a nurse is overworked, perceptions become insufficient as the nurses’ pe rceptions start to extricate during phases of microsleep. Second, nurses experience burn out. Currently, the emergency units of different hospitals are being over crowded because of blood tests and additional processes that slow down the flow of patients. This makes the few nurses to become fatigued and experience burn out. Finally, the nursing profession is filled with aging nurses. This is because a large number of hospitals are concentrating on developing medical technology and neglecting the maintenance of sufficient nursing staff (Mitchell, 2003). Nursing problems will augment in the future. Obamacare permits every citizen to access health care (Barr, 2011). This means there will be an increase in patient number but not an increase in the number of nurses. Therefore, nurses will be compelled to work for longer hours than before. The long hours of work and the exhaustion that occurs pose a tremendous hazard to the safety of patients. This may lead to unplanned mistakes, for exam ple, taking the incorrect dose or form of medication, or identifying the improper patient. Also, nurses will experience high levels of burn out. Meeting the expectations of the enlarged number of patients will be extra demanding. The nurses will be too much stretched and may fail to realize the demands and needs of patients. Balancing long working hours and individual life will cause stress and, consequently, burn out. Moreover, there will be an increase in aging nursing staff. This is because numerous nurses have delayed retirement due to

Thursday, July 25, 2019

The Localization of Management in China The Implications and Essay

The Localization of Management in China The Implications and Considerations for Foreign Companies - Essay Example Finding - The book provides very sound advice on understanding the operational strategy of China's economy. There is no economy in the world as important and yet as poorly understood as China's. In his penetrating book, Sull helps us understand what really happens in some of China's most important companies. The book is packed with startling stories and much strategic advice for entrepreneurs who can seize the opportunity and manage the risk in the dynamic Chinese market. Finding - This is an intriguing study which addresses the key factors which motivate the local Chinese to open the doors of their land to do business with foreign company. The emphasis is on business lessons which foreign company needs to learn to assimilate into the local culture. The dragon is the Chinese market. Subject - The book is designed to help westerners who intend to conduct business in China. The information contained in the book can also be very helpful if you are visiting China for business or pleasure and even if you desire simply to get greater insight into Chinese worldview and not only the appropriate way to act in different situations, but also some historical and social background which is the inherent part of Chinese business culture. Finding - Thomas G. ... The information contained in the book can also be very helpful if you are visiting China for business or pleasure and even if you desire simply to get greater insight into Chinese worldview and not only the appropriate way to act in different situations, but also some historical and social background which is the inherent part of Chinese business culture. 6. Author-Thomas Geoffrey Moore Title- China in the World Market: Chinese Industry and International Sources of Reform in the Post-Mao Era. Subject- Analysis of China's position in the World market with emphasis on the reform in post-Moa Era. Finding - Thomas G. Moore examines the role of the outside world as a source of change in post-Mao China. Based on extensive documentary and interview material, the book adds the Chinese case to a long tradition of country-based studies by political economists, historians, and area specialists that have chronicled the experiences of developing countries as they enter specific industrial markets in the world economy. This book will be timely and provocative reading for anyone concerned with the nature of China's deepening participation in the world economy and its consequences for the country's development prospects, internal reforms, and foreign policy. 7. Author - Michael Porter Title - Porter on Competition Subject - Strategy formulation in coping with competition Finding - In this book Porter carefully organizes the material within three Parts: First, he focuses on competition and strategy for companies at both the level of a single industry and then for multinational or diversified companies; next, he addresses the role of location in competition; and then he Part III, he addresses some important

Wednesday, July 24, 2019

Energy security and energy securitization Essay

Energy security and energy securitization - Essay Example The inequality in regard to the energy sources available has caused severe conflicts among states worldwide, a phenomenon which was made particularly clear since the 1970s, the period of ‘oil shock’ (Bhattacharyya 2011, p.463). The above conflicts have led to the increase of risks in relation to the management of energy. Energy security has become a critical issue for all countries around the world; countries, which have developed strategic alliances within the international community, have been able to respond more effectively to the needs of energy security; for example, the case of the European Union (Checchi, Behrens, and Egenhofer 2009). The various aspects of energy security, as related to the energy securitization, are examined in this paper. The review of the literature published in the specific field proved that it is rather difficult for countries to meet all the requirements of energy security; moreover, energy security has been often used for promoting other interests, especially for serving the economic interests of individuals or institutions. The management of energy security should be based on the relevant principles and rules established by the international community. 2. Energy security and energy securitization 2.1 Energy security – characteristics and role Different approaches have been used in the literature in order to explain the context of energy security. In accordance with Tufa (2008) energy security can be described as ‘a reliable supply of energy at a sustainable cost’ (Tufa 2008, p.6). It seems that cost and reliability are two critical factors for defining energy security within the international community. This fact is verified through the definition of energy security given by Muller-Kraenner (2008); in accordance with the above definition, the energy security is considered as ‘the provision of reasonably priced, reliable and environmentally friendly energy’ (Muller-Kraenner 2008, p.4 ). It is noted that the term energy security may incorporate different elements in countries worldwide. For instance, in countries that are major oil producers, energy security reflects the ability of these countries ‘to maintain the security of demand’ (Tufa 2008, p.6). From a similar point of view, the term energy security can be used in order to describe the efforts of a nation to keep the price of its energy – related products low. On the other hand, Sovacool (2011) notes that energy security is related to the ability of a country to respond to its energy needs, so that: a) no problem would appear in regard to the survival of the specific nation (Sovacool 2011, p.78), b) the welfare of the country would not be threatened (Sovacool 2011, p.78), even if the characteristics of threat in the above case are not clearly described and c) the risks in regard to the management of energy sources within a country are minimized (Sovacool 2011, p.78). It is clear that the efforts to promote energy security are not standardized in countries worldwide. There are countries that consider energy security as a need justifying the development of severe conflicts; other countries seek for

Tuesday, July 23, 2019

MBA Case SkyWest Inc. and the Regional Airline Industry Essay

MBA Case SkyWest Inc. and the Regional Airline Industry - Essay Example The success of the regional airline carriers is explained by attention is directed to the selection of the logical or best strategy under conditions of risk. Of course, expenditures for certain types of service are declining while others are gaining. . It is also important to recognize technology, particularly as it interacts with the strategy and organizational structure of the regional airlines. These expansions reflect desires to meet consumer needs and capture a larger part of the discretionary dollar. Services are not accorded concrete treatment in marketing, since they are intangible and difficult to deal with. Life styles are leading passengers to larger expenditures on services, which are important not only in the aggregate but also in their influence (Thompson et al 2008). 2. The strategy of SkyWest is based on unique brand image and partnership with United and Delta. The key is to have a strategy for investigating and integrating the various technologies over time. This is a challenging endeavor, to say the least. The importance of SkyWest strategy is that its operational strategy and organizational structure are developed simultaneously with the implementation of new information systems. At some point, new strategies and structures are required on the basis of what the information technology can deliver. It is all too easy to improve the information technology of the firm in increments only to find that it does not mesh well with the existing strategy and structure. As a result, these separate components become impediments to successful implementation. Strategy, structure, and systems must be melded together as an integrated whole. SkyWest followed differentiation strategy and tries to achieve sustainable competitive advantage. Service differentiation results from different service processes, research and know-how,

Monday, July 22, 2019

Marriage and Obedient Christian Head Essay Example for Free

Marriage and Obedient Christian Head Essay For almost 4 years I was married to a beautiful and adulterous woman. In terms of our friends and acquaintances and the public, we were a perfect couple. We held hands when at comedy shows and in malls. We kissed anywhere and everywhere, no matter who was watching or whose paths we crossed. But when night fell on any given evening, my beautiful wife would leave only to return in the wee hours of the morning, just before daylight. What a lovely person she was when we on the town together. I admit that I hung in there for almost two years and was the â€Å"good† husband and obedient Christian â€Å"head†. I ran my companies from home and rarely met clients in person, opting to use Skype for my meetings. When I approached my wife about going to church and seeing a marriage counselor, she balked and I felt abandoned. Too much of that began to make me feel worthless, helpless, and heartbroken. And then came the need to find attention and a woman who would show me appreciation and value; things my wife did not or could not. I began to meet clients out in lounges and at happy hours. Or travel everywhere out of state, or the country to find â€Å"other† women who would welcome this gentleman. I stayed out until daylight many nights. Bedded many women. Travelled on many excursions with strange women. In final, after a sadistically short marriage and nasty divorce, I came to terms with the way I react to pain. Ashamed am I to have turned to my ex-wife’s ways. Ashamed am I to have left my obedience to the Lord. Ashamed am I to have to write about the truth. Though, I know, now, that I would be better if I was ever cheated on again.

First Language and Learning English Essay Example for Free

First Language and Learning English Essay Language is the most dynamic form of symbolism that cultures possesses. Language is the medium in which people interact and communicate for the exchange of ideas, knowledge and feelings. Language acquisition has been one of the most intriguing aspects of human nature and had been the focus of different disciplines. For the most part, language acquisition had been theorized and conceptualized in different ways all of which was to determine where language came from and how it developed. On the other hand, the multicultural aspect and globalization of our society have made it almost a necessity to learn English as the most favored international language. Most educational curriculums in the world integrate the learning of English as a second language especially in areas where the first or native language is structurally different from English (Gitsaki, 1998). According to Krashen’s (1981) model of second language acquisition â€Å"acquired and learned languages are different†. Language acquisition is a subconscious process brought about by the meaningful interaction of the individual with the target language while learning a language is a conscious process which results in conscious knowledge about the language (Krashen, 1981, p. 103). Learning a second language is a complex process that can be affected by different factors, one of the most leading issue is that of how first language affects the teaching of English as a foreign language in the classroom. Several researches have reported that first language proficiency strongly predicts English language learning (Clay, 1993; Snow, Burns, Griffin, 1998), moreover, a strong correlation between first language fluency and learning English was also reported (Hiebert, Pearson, Taylor, Richardson, and Paris, 1998). Children who have to learn a second language generally have to use first language in comprehension and analysis of the information exchanged in the second language. Therefore the impact of first language to learning a second language can be facilitative while it can also interfere with learning a second language such as English (Bialystok, 2002). This literature review would present what has been known about the role of the first language in learning English as a second language in the context of classroom learning as well as how teachers can effectively use the first language to the teaching of English. This exercise would also discuss the theoretical framework, the research methods and the strengths and weaknesses of the presented literature. Appendix Auerbach, E. (1993). Reexamining English only in the ESL classroom. TESOL Quarterly, 27(1). Bialystok, E. (2002). Cognitive processes of L2 users. In V. Cook (Ed. ), Portrait of the L2 user (pp. 147-165). New York: Multilingual Matters. Burden, P. (2000). The use of the students mother tongue in monolingual English ‘conversation’ classes at Japanese universities. TLT Online Editor. Retrieved May 12, 2008, from http://www. jalt-publications. org/tlt/articles/2000/06/burden Clay, M. (1993). Reading Recovery in English and other Languages. Keynote address presented at the West Coast Literacy Conference, Palm Springs, CA Cummins, J. (2000). Language, power and pedagogy: Bilingual children in the crossfire. Clevedon, England: Multilingual Matters. Cummins, J. (2001). Bilingual children’s mother tongue: Why is it important for education? Retrieved May 12, 2008, from http://www. oise. utoronto. ca/MLC/MotherTongueDK. pdf Garcia, G. E. (2000). Bilingual childrens reading. In M. Kamil, P. Mosenthal, D. Pearson, R. Barr (Eds. ), Handbook of reading research Volume III (pp. 163-179). Hillsdale, NJ: Lawrence Erlbaum Associates. Giacobbe, J. (1992). A cognitive view of the role of L1 in the L2 acquisition process. Second Language Research, 8; 3, 232-250. Gitsaki, C. (1998) Second Language Acquisition Theories: Overview and Evaluation. Journal of Communication and International Studies 4; 2:89-98. Hamers, J. Blanc, M. (2000). Bilinguality and bilingualism 2nd ed. Cambridge, England: Cambridge University Press.

Sunday, July 21, 2019

Freud and Eysencks Theories of Crime

Freud and Eysencks Theories of Crime Freud Eysencks Theory of Crime Crime Introduction By studying the work of criminologist’s Freud and Eysenck, this essay will consist of me looking at key psychological factors, I will look at the strengths and limitations of their personality theories of crime. I will put forward a wide range of explanations, by studying the work of the criminologists and trying to understand the causes of crime, for example psychological issues. Psychology relates to the study of peoples’ mind. Psychological theories of crime look at the differences in individual behaviour and how that makes it more likely for individuals to commit a criminal act. The reason for these differences may be due to personality characteristics, biological factors, or social connections. (Freud, S. 1961) Psychodynamic explanations of crime and criminal behaviour have their origins, by looking at the significant work of Sigmund Freud (1956-1939). The psychoanalytical model developed by Freud in which he believes that a human progresses, early in life. Freud comes to say the human personality has three sets of interacting forces. These include the id, the ego and the superego. These are three components in a human personality that initiate them to behave in the manner they do and make individuals what they are. Firstly the id which is believed to be primitive, which supply’s unconscious drives for food and sex. The id triggers humans to do all the things that feel good, regardless if they are wrong. A child who is cries when they are hungry, this is the id triggering the child for the needs to be met. Secondly, is the superego which contains the conscience. According to Freud the superego consists of values and morals internalised through a person’s life. The super ego merges between the id and ego. It helps individuals feel good about something they have done right and feel guilty for something they have done wrong. Thirdly, the ego or the conscious personality, this personality component helps humans face reality by adjudicating between the other two components id and superego. Ego helps individuals not to follow every desire they have which is created by the id. This component allows the principle of reality which guides improper sexual and aggressive drives to suitable intentions. The ego is something that is learnt. Freud believes humans are born with their id. Freud believes the id holds importance to the personality, for example the id allows a newborn to get its needs met by crying. The id is set on getting pleasure; the id wants whatever feels good despite the outcome of the situation being bad. By looking at the example of a child who will cry to meet his satisfactions, this is a good way to explain how the id works; the id will speak until the needs are met. The id just wants to meet its own satisfaction without any consideration about reality. Looking at babies who are inconsiderate to their parents, weather there parents are sleeping eating etc if they want something they will cry for it until they get it. This shows if the id wants something, noting else is important. During the child developing through life the second component of the personality develops. This is known as the ego, the ego looks at the reality theory. Not like the id the ego is more considerate it understands feeling and emotions of others and takes them into account. Therefore the ego meets the needs of the id, at the same time looking at the reality of the condition. By the time a child is five the development of the third personality component develops. Freud called this Superego. The superego is seen as the honest part of humans. It determines what is right or wrong by looking the moral and ethical barriers placed by people around us. The ego according to Freud is the most powerful component. Freud believes that the ego complies with the desires of the id and the superego. At the same time the ego relates on the factors of reality. Freud believed that if the id gets a strong desire and self satisfaction obtains an individuals life. The stronger the superego is, the more an individual will be driven to harsh ethics. By looking at the development of the superego, is it said that the superego acts on the ego. The superego is believed to internally have rules and punishments; the superego praises and punishes the child in the same way as the parents. This then builds up to the child learning what is right and wrong. The id works for pleasure and superego wants control; the relationship with parents is seen as important. Assumed that the failure to develop a superego was the result of the parents being unloving or absent for much of the child’s upbringing (Aichhorn, 1963). Nevertheless having parents who are kind and caring could have the same effect. Freud’s theory concludes around the idea that inner, dynamic forces influence human behaviour. On the other hand Eysenck was one in many psychologists to study personality. Eysenck’s personality theory was different. Eysenck based it upon psychological concepts of conditioning whereas Freud’s theory was based on conscience, but Eysenck viewed the concept very differently. Eysenck believes there is a biological basis to personality. Were individuals are genetically predestined. Eysenck believes individuals tend to learn the rules and norms of society through conscious. This is obtained through happenings in life, when involved in certain situations. He goes on to say the good receive rewards and the bad or unexpected are punished. Eysenck also believes there are three dimensions to a personality. Firstly extraversion which is said to have two components impulsiveness and sociability, each of which are independent of each other. Eysenck looked at extroversion as individuals who enjoy ‘positive events’ especially social events, they are seen to enjoy involvement in gatherings e.g. parties. They enjoy mixing in with others and talking rather then being on their own. Extraverts are seen to ‘fade’ if they are on their own or bored. People who are extraverts enjoy interacting with other and are seen to be assertive and talkative. Extraversion in individuals allows them to spend more time with people and less time on their own. They are seen to have a more positive approach and are more energised when people are around. They are seen to take risks and hold leadership abilities. Low extraversion is expressed as introversion. This is totally opposite to extroversion. Example of introverts are writers, artist etc. People with high introversion are only concerned and interested in their own psychological life. Introverts enjoy spending time on there own, for example they enjoy reading and writing rather than engaging in activities such as social gatherings. Introverts are seen to be ‘low key’. Introverts enjoy observing situations before they take part, they allow themselves to concentrate on a certain activity or person before they get involved or take part in another. Introverts should not be considered as shy people, due to them as individuals enjoying time spent by themselves; they don’t hold fear of mixing in with people. Due to there own preference they enjoy time spent on their own. Eysenck referred neuroticism or instability to individuals who have negative emotions, such as people who are moody, anxious, and highly insensitive. Stability then is the lack of this behaviour. Individuals with high N are seen as neurotic; whereas someone with a low score would be see as stable. Eysenck found that women are more neurotic than men. Little (1963) carried out research by comparing the scores for convicted young offenders on the extroversion and neuroticism scope with those who are non-offenders. The outcome of his research was that there was no difference in relation to extroversion but the offenders scored higher on the neuroticism dimension. Neither element showed the relation of replicate offending. Eysenck (1977) agues that different combinations of different personality scopes within people influence their capability to learn not to offend and therefore the level of offending someone with a high E and high N equal a stable introvert. Introverts are seen as the most effectively conditioned. Eysenck found that stable extroverts and neurotic introverts come somewhere between the two limits in provisions such as conditioning. Sigmund Freud defined psychoanalysis as â€Å"a method of mind investigation, and especially of the unconscious mind† (Freud 1920). Looking at the relationship between psychoanalysis and crime, Freud created the psychoanalytic theory; this theory is used in criminology to explain crime. Freud’s psychoanalytic theory is based on the fact that individuals welfare of a strong relation between the id, ego and superego. However Freud never had much to say about crime. This theory is based on the basis of why crime is committed, and the reasons for crime within an individual. Freud based it on the fact that crime is caused by e.g. conflict in individual’s early life that leads them to become criminals. Freud’s theory suggests that individuals with anti-social tendencies, in the unconscious of there mind, they tend to think back to traumatic events in their early life, which causes long term psychological problems. Another reason why Freud believes individuals become criminals and start committing crimes is due to the id getting out of control. Freud went on to say that there are three possible reasons for individuals to commit crime which relate to his theory are: Strong conscious – which creates guilt within individuals Weak conscious – which does not control individual desires and Criminal needs for instant pleasure. Freud’s theory suggests that individuals may have tension or disagreements in their mind which lead to guilt. As a result they gain views and feelings inside that make them wanting to be punished. He feels unconscious differences reason crime. Displacement according to Freud’s psychoanalytic theory is when an individual’s desire changes from something that is wrong or intolerable to something that is right and suitable. For example when something does not go right for someone i.e. exam: and the pupil feels angry at the teacher due to them asking hard, difficult questions. The pupil knows that they can’t say anything to the teacher and to take they anger out they take it out on someone closer to them i.e. there little brother. This allows individuals not to commit crime and control their feelings and urges and carry out their anger in not a criminal manner. Freud expresses repression as the procedure to condemnation. He believes that people have memories, urges, etc but these feelings are hard or unacceptable to think about, individuals tend to take them out there mind and conscious and not think about them. This is what Freud expressed repression as, which is comparable to suppression. Theories of over control start with the view that crime and criminality are: subjective, meaning there is confliction between them as the definition changes over time. Over control relates to the concern of criminalisation, and why individuals become selected criminals and why individuals react different to them. Over control is a theory that society can make, adjust or remove rules which have been placed. The development of a criminal personality can be due to the way a child had been bought up from an early age. This could lead to the child developing a criminal personality when the child becomes older. Freud planned two different models of criminal behaviour. He firstly looked at the types of criminal activity e.g. arson shoplifting etc. he looked at his theory psychosexual development and believed that the disruption of psychic development which may easily be disrupted, leading to neuroses. He believed that people affected at anyone or more of theses periods in childhood may be the reason for criminal behaviour in later life. Freud believes that psychosexual development of a child is the inspiration or impact of the parents, the impact of the parents is seen to be unconscious. Freud believed that both parents and child are not conscious of the influence they have on each other, therefore he believed that there is less chance of parents producing children that offend. Secondly Freud’s model of criminal behaviour was the offenders acquire a weak conscious. Freud stated that the progress on the conscious is essentially significant on the upbringing of the child. He sees morals are closely linked to guilt, and those individuals who have an unconscious guilt are the ones who are most liable to be part of criminal behaviour. Aichhorn (1925) argued that the birth of a child has certain natural desires that want satisfactions. A child is unaware and unaffected by the values of society surrounding the child. The parents therefore should bring the child to a social state. If the upbringing of the child is ineffective the child remains asocial. This could lead to actual offending behaviour. He believed that individuals with fully developed conscious but had parents who were criminals themselves. Secondly there were those who had been allowed to do whatever they wanted by weak parents. I think that psychoanalysis can be used to explain types of serial killing or mental disorders. I feel that individuals who kill people or suffer from a mental illness is due to past experiences they experienced, therapists use psychoanalysis in order to retrieve into the unconscious mind of an individual. They get individuals to talk about what comes into there head and studying the dreams of the individual, the therapist than makes the individual aware of things that are going occurring in there mind that they are unconscious of. Theorists believe the unconscious mind is strange. They believe that individuals cannot work out there problems themselves, which lead to other people sorting out there issues. The criticism of this theory is that people believe that Freud theory is too simple to explain the density of the human mind; Freud overstated sex and was seen to be sexiest. Looking at his theory was a feminist approach, Freud theories were believed to be essentially from a male viewpoint with his own self-analysis. He hardly integrated female viewpoints into his theories. Looking at the relationship between Eysenck’s personality theory and crime, Eysenck believes by looking at traditional theory there is no therapy of behavioural disorders. Eysenck’s theory of criminal behaviour puts together biology, social and individual features. Children who are socialised and bought up the right way, makes the child aware of the right and wrong things, they will then keep away from activities that will have consequences Eysenck believes children control there own impulses. Eysenck believes individual’s behaviour is inner initiative and motivation. Looking at personality and criminal behaviour it is believed that life alone can not justify why individuals turn to crime. Eysenck said that children that are born with criminal features or due to experiences that lead them to be criminals. Criminal doings are seen as inner desired which are not fulfilled (sublimation). Eysencks theory has been criticized due to a great amount of doubt and ambiguity regarding the validity and trueness of his theory. Farrington (1994) however proposed the approach taken seems to at least indentify a discrete connection involving offending and impulsiveness. Though Farrington found no significant connection with personality. Eysenck study on anti social behavior has not yet been fully tested. Conclusion By looking at the work of both criminologists Eysenck and Freud, I feel that the more research should be done on the causes of crime in the future, by looking at the critics of both theorist it has been said that Freud being sexist and the ambiguity of Eysenck work could not really clarify why individuals behave the way they do. I feel that more research should be put into the work of researchers. Looking at psychodynamic and behavioural learning traditions a criminal mind or personality does exist. References Aichorn, A. (1963). Wayward Youth. NY: Viking. Farrington, D. (1994). Psychological Explanations of Crime. Dartmouth: Aldershot. Freud, S. (1941). Criminals from a Sense of Guilt pp. 332-33 Vol. 14 The Standard Edition of the Complete Psychological Works of Sigmund Freud. London: Hogarth Press. Freud, S. (1961). The Complete Works of Sigmund Freud (Vol. 19). London: Hogarth. Little, A. (1963). An Introduction to Criminological Theory: Second edition, Roger Hopkins Burke.

Saturday, July 20, 2019

William Thomson Essay -- biographies biography bio lord kelvin

Born on June 26th 1824 in Belfast Ireland, William Thomson was one of many children. He was primarily raised by his father, James Thomson, as his mother died when he was six. James Thomson raised his family in a strict Presbyterian fashion. Although his father was strict and demanding, William mangaed to maitain a close relatioship with his father. James Thomson was the professor of engineering in Belfast and later was appointed to the chair of mathematics at the University of Glasgow. He taught his son mathematics at a very early age and as a result, William Thomson became an accomplished mathematican beyond that of universities. William Thomson enterd Glasgow University at the age of ten. That was not as uncommon as it is today because back then the universities were competing for the best junior pupils. In 1838, when Thomson was 14, he began what people today would consider university work and when he was 15, his essay called An Essay on the Figure of the Earth won him a gold medal from the University of Glasgow. Thomson then went on to publish his first papers at ages 16 and 17. These papers were defending the work of Fourier who was being criticized by british scientists. Following his years at Glasgow, Thomson entered the University of Cambrige in 1841. He graduated in four years with a B.A. honors degree and was second wrangler. Further work in 1845 saw him become first Smith's prizeman and he was elected a fellow of Peterhouse. From there he went to Paris because of his interest in the French approach to mathematics and he wanted to gain practcal experience and competence in experimental work. Before leaving Paris, Thomson got involved in many discussions which led him to study th... ...that of electrical current flow which helped him solve the problems with trasmitting electrical signals over long distances. Following this project, thomson invented the mirror galvanometer which he patented in 1858 as a long distance telegrah reciever. These projects not only led him to a great deal of fame but also a lot of money. Because of the great success he had from his work, Thomson was Knighted by QueenVictoria in 1866. He then retired from Glasgow in 1889 after being a professor for 53 years. In 1890 he became president of the Royal Society and held that position for five years and in 1892 he was created Baron Kelvin of Largs and recieved the Order of Merit in 1902. William Thomson, better know as Lord Kelvin, eventually died at his home December 17th, 1907, in his estates close to Largs, Scotland, and was buried at Wetminster Abbey, London.

Friday, July 19, 2019

Essay --

Child Obesity Six through eleven year old obese children have increased from seven percent to eighteen percent, for children of twelve through nineteen the percentage has increased from five percent to eighteen as stated by the Center for Disease Control and Prevention http://www.cdc.gov/healthyyouth/obesity/facts.htm. In this new decade, fast, fatty, and sugary, food has become day to day life consumption in our society. America’s children are exposed to these foods and unfortunately take part in this diet because their providers present them with this unhealthy diet. Not only do they have an inadequate nutritious diet, but they also lack of physical activity. There are millions of children who need your help to not be in danger of a serious health problem and die. Child obesity is increasing rapidly in the United States. Let’s begin by addressing the problems that can occur among child obesity. The first problem is that children may not be able to meet all of their physical needs. Example of a fifteen month old weighing fifty five pounds, twenty...

Euthanasia: A Painless Deaceful Death Essay -- Argument for Euthanasia

Euthanasia is a painless peaceful death. Euthanasia is defined as the deliberate putting to death of a person suffering from a painful, incurable disease(New Standard Encyclopedia Dictionary). People use other terms to describe euthanasia: mercy killing, assisted suicide, and physician assisted suicide. Euthanasia can be unresponsive, (inactive) or active. Unresponsive euthanasia occurs when an incurably ill person refuses life sustaining medical support. Active euthanasia happens when another person deliberately causes the death of a terminally ill person, such as when someone gives a terminally ill person a lethal injection. Euthanasia can also be voluntary or involuntary. Voluntary euthanasia occurs with the consent of the dying person, while involuntary euthanasia happens when the dying person doesn’t give their consent. The right to die term used in the support of euthanasia started in the 1970s. It describes the rights of those that are terminally ill or those that are seriously injured. It started in the 1970s with the case of Karen Ann Quinlan from New Jersey. Karen fell into a coma from the use of drugs and alcohol. Being kept alive with a respirator and feeding tube, her parents decided on pulling the plug and ending her life. In 1976, Karen was hospitalized in a Catholic Hospital. The hospital refused the parents request to end her life. The Supreme Court of New Jersey ruled that the parents of Karen Ann Quinlan had the right to decide their daughter’s fate. This decision started the â€Å"right to die† issues (Charles E Hughes). Neutralization who’s against it and who’s for it, some of the arguments against euthanasia are that suicide no matter how or why is wrong. Under special conditions even the Catholic Church... ...e is a quote: â€Å"The care of human life and happiness and not their destruction is the first and only legitimate object of good government† (Thomas Jefferson). â€Å"There is no quality of life when the patient is dead† (Nurse). Conclusion There are good sides and bad sides to euthanasia. It all depends on which side you’re on. The main idea is that a patient should have a choice and that choice can’t be taken away from them. People make choices everyday, sometimes those choices are difficult, but those choices should not be taken away by the government, or buy a physician who thinks their patient cannot make a competent decision. The elderly and the terminally ill should be able to make their own choice. It seems as if everything else is taken away, so their rights should not be an exception. Given the choice, seniors might feel as if they are dying with dignity.

Thursday, July 18, 2019

Pharmaceutical Industry and E. Merck Ag

Historical background of the business Today Merck & Co, Inc. is one of the most recognizable companies in the pharmaceutical industry. When asked about Merck, most people think that it is and always has been a US company. However, the company’s history can be traced all the way back to the 1600’s where it was started in Darmstadt, Germany. Friedrich Jacob Merck purchased a local store in 1668 where he prepared and sold medicines. The store was called â€Å"At the sign of the Angels† and would remain in the Merck family for many generations (Merck & co. , 2000). In 1827, Heinrich Emmanuel Merck and renamed E.MERCK AG transformed the store into a drug manufacturer. The pharmacy was so successful that by 1855 E. Merck AG was selling medications worldwide. It was at this time that Merck decided to send a company officer to the United States to set up a sales office. Once in the U. S. in 1899, Heinrich’s grandson George Merck bought one hundred and fifty acres in Rahway, New Jersey. A couple of years later, in 1903, Merck started production in its new U. S. headquarters. By this time Merck was not just producing drugs, it was also starting to produce different types of chemicals and there was also a research lab.When the United States entered World War I in 1917, George Merck, fearing that Germany would win the war and take over his company, sold all of his stock to a US company named Alien Property Custodian (Merck & Co. , 2000). This ended all of Merck’s ties to Germany. After the war, George Merck regained a controlling share of the company in 1919 and from that day forward Merck has always been a publicly owned company. George Merck continued to grow the company until his death in 1926 at which time his son, George W. Merck took over. In 1926, George W.Merck decided to merge the company with Powers-Weightman-Rosengarten, which was a Philadelphia, based pharmaceutical company. In 1927 the company was officially incorporated and renamed Merck & Co. Inc. This merger gave George W. Merck the capital he needed to recruit new chemists and biologists, which lead to the discovery of vitamin B12. Vitamin B12 was a huge success, but because the war had been over for several years, new foreign companies were continually underselling Merck. With no new products in sight, George W. Merck decided to merge with a Baltimore company by the name of Sharp & Dohme, Inc.This merger was believed to have saved Merck from going under; it gave Merck new marketing facilities and a new distribution network, which it desperately needed. By the time George W. Merck died in 1957, the company had hit the one hundred million dollar mark. Not only was the dollar mark significant, George’s death marked the last time a Merck family member would ever be in control. From the 60’s on, Merck continued to raise its market share taking advantage of its research and development, which continually produced new and popular drugs every year.Today Merck employs over fifty five thousand people and produces some of the most well known pharmaceutical products on the market. With profits totaling a little fewer than six billion dollars and annual sales of over twelve and half billion dollars, Merck is considered one of the best pharmaceutical companies in the world. Products Throughout the years, Merck has made itself a reputation for developing high quality products that consumers know will work. The drugs are developed to help with all different types of problems.Some medicines are used for every day symptoms like a stuffed up nose and some are used for more serious illnesses like the treatment of HIV. Since Merck & Co. , Inc. was founded; it has always made a point to have an above average research and development program so that it could appeal to a wide variety of consumers no matter what symptoms they were trying to cure. Some of the first products ever distributed by Merck in the 1820’s were morphine, co deine and cocaine. These three products allowed Merck enough revenue to begin research on other types of products.In 1933 Merck scientists discovered vitamin B12 which was, at the time, used as a therapeutic drug. The sales from B12 alone were enough to carry Merck into the next decade. Although Merck scientists discovered cortisone, which is a steroid, and streptomycin, which is used to treat tuberculosis, the 1940’s, 50’s and 60’s were fairly slow periods for Merck. Other products such as Aldomet, which is used to treat depression, Indocin and Clinoril which are anti-inflammatory drugs, were developed but none of them had the impact on revenue that Merck was used to.It was not until the mid to late 70’s that Merck came out with some new products that really connected with consumers. It was at this time that Timoptic and Enalapril were invented. Timoptic is a hepatitis vaccine that helps with the treatment of glaucoma and Enalapril is a high blood pressu re medication. Sales from these two drugs were well over a half a billion dollars by the early 1980’s. Things only got better for Merck from the 1980’s through 2000. During this time Merck produced over twenty new drugs.Some of the more popular drugs include Cosopt, used in the treatment of glaucoma, Propecia, which is used to treat hair loss, Maxalt, which is used for migraine headaches, and Singulair, which treats cases of asthma. Although all of these medications worked out very well for Merck’s profit, there were three drugs that stood above the rest. Vasotec was a treatment for congestive heart failure and Merck’s first billion dollar a year drug. That was followed by Vioxx which is a pain medication used to treat arthritis and also a billion dollar a year seller. The most popular drug Merck ever produced was Zocor.Zocor is a cholesterol-fighting drug that was introduced in 1992. Not only was zocor a multi-billion dollar a year drug, it was one of th e most successful selling pharmaceutical drugs ever (Merck & Co. , 2000). Zocor accounted for over four billion dollars in worldwide sales in 2004 alone. With products like these and a continued dedication to research and development, Merck will be a major player in the pharmaceutical industry for many years to come. Company Locations Merck and its subsidiaries have locations all over the world. Their main headquarters is currently located in Whitehouse Station, New Jersey.Merck takes pride in being a global healthcare leader. According to their website they currently have 83,000 employees worldwide (Merck. com). In 2009, Merck merged with competitor Shering-Plough, which extended Merck’s reach into the global economy. According to Muse (2011), Merck has over 75 locations, â€Å"Drawing from its locations in 77 countries, Merck’s worldwide sales for 2009 were $27. 4 billion (Muse p. 251). † These locations stretch across the continental United States from New Je rsey to San Francisco. The worldwide locations include factories in Europe, the Middle East, Africa, and Japan.Merck’s revenues continue to climb with their global growth. The revenues recorded in various regions by Merck in 2012 include, â€Å" |2012 Revenues |United States | |(By Geographic Region) |$20. 4 billion | | | | | |Europe, Middle East and Africa | | |$13. billion | | | | | |Japan | | |$5. 1 billion | | | | | |Other | | |$8. billion (Merck. com). † | | | | Merck is seen as a leader on the stage of global expansion. It is one of the largest pharmaceutical companies in the world. Merck continues to grow and expand its influence in an effort to provide their vaccines and medicines across the globe. Their recent merger will allow them to test markets that they have not had experience in before, and help increase their profits globally.Style of International Business Merck has been on the forefront of International Business and is one of the leaders at adapt ing to new employees in diverse geographic locations. The company has maintained a policy of progressiveness in their workplace. According to Muse (2011) Merck is one of the leaders in this field. They have been ranked among the Top 50 Companies for Diversity and the 100 Best Corporate Citizens List (Muse p. 251). † Merck makes diversity one of their top priorities and it is well documented on their website. They have created a voice for the different diverse peoples within their company.It is a new way to maintain communication with the feelings and thoughts of various groups in different regions throughout the world. Merck calls these Global Constituency Groups. According to their website, â€Å"We've taken an innovative, global approach to our diversity strategy through the creation of Global Constituency Groups. These groups represent the diverse constituencies in our company, our customers and society, in general. The members represent different geographies, cultures and areas of expertise. Together they reflect Merck employees and customers globally†. Merck. com) With this process, Merck is able to keep up with the problems and successes within the different constituencies throughout the company. Merck’s plan to achieve diversity within their company begins from the leadership positions. Filling these positions with people mindful of diversity has allowed the company to continue to keep its place among the most diverse companies in the world. According to Merck, â€Å"Diversity and inclusion are integrated into our leadership model, and are considered an essential leadership skill for all of our employees (Merck. com). Merck preaches this diversity not only to their employees, but their suppliers as well. â€Å"At Merck, we believe that having a diverse supplier base helps us better understand and anticipate the needs of the people we serve (Merck. com). † This creates a positive culture throughout the company of acceptance an d tolerance towards others. It is a progressive policy that allows Merck to continue to flourish and it is a model style of International Business. Strategic Alliances Merck has made many strategic alliances throughout the years to help improve their products or supply them to a wider range of people.In the late 80’s Merck made an alliance with one of the biggest companies in the United States, Johnson & Johnson. According to the International Directory of Company Histories (2000), â€Å"In 1989 Merck joined with Johnson & Johnson in a venture to develop over-the-counter (OTC) versions of Merck’s prescription medications, initially for the U. S. market, later expanded to Europe and Canada (encyclopedia. com)†. This helped Merck products become more easily available to consumers throughout the world. At the time this alliance was hailed as a blockbuster deal that would create growth for both companies.This deal lasted over twenty years and was very profitable for both parties. When Merck sold their stake in the deal in 2011, they received $175 million for it. The largest alliance Merck has made recently is the acquisition, or reverse merger, of their rival Schering-Plough. The $40 billion deal was made in an effort to keep up with other companies in the pharmaceutical market, especially Pfizer. According to Singer (2009), â€Å"The merger would join pharmaceutical companies that had combined sales of $46. 9 billion last year (p. 1). † This alliance expanded Merck globally and allowed it to tap into Schering-Plough’s resources.These resources ranged from new drugs for Merck to market, to a bigger pipeline to promote their own drugs. According to Singer (2009), â€Å"The merger gives it access to successful brand-name Schering products with much longer patents, like the prescription allergy spray Nasonex. And Merck could capitalize on Schering’s investments in promising biotechnology drugs (Singer p. 1 ). † This al liance helped Merck continue to be a formidable competitor in the global pharmaceutical market. With this deal happening only a few short years ago, Merck continues to grow and utilize its new resources in the market today.Exports Merck’s exports consist of various types of pharmaceuticals. Some of their most profitable exports include Singulair, Fosamax, Nasonex, and Vytorin. Singulair is used to treat seasonal allergies like other drugs such as Claritin and Allegra. It can also be used to prevent asthma attacks. It has been very profitable for Merck in the past. Yet, sales began to dramatically fall when media reports about the disturbing side effects of Singulair began to surface. The worst of these side effects included depression and suicidal thoughts.Still, even in spite of Singulair’s profit drop, Merck continues to make large amounts of money off of the export. Nasonex and Vytorin are two products that were a result of the Merck and Schering-Plough merger. Naso nex is a nasal spray used to treat seasonal allergies in adults and children. It has proved to be a positive part of the merger, becoming one of Merck’s most profitable products. Vytorin was already part of a joint effort between Merck and Schering-Plough even before the merger. Vytorin is a combination of ezetimibe and simvastatin used to treat cholesterol levels.They created and marketed the product together. After the merger, Merck continued to sell and market Vytorin. Fosamax is another popular export of the Merck Company. It is used to treat osteoporosis and other bone diseases. Fosamax was previously one of Merck’s best selling drugs. Yet, because of patent problems, they have lost large amount of money. According to Singer (2009) â€Å"Merck’s former blockbuster bone drug Fosamax has gone generic, and in a few years the same thing will happen to its best-selling allergy and asthma drug Singulair (pg. 1 ). † These exports have been Merck’s ma in products in the past.In the future, with their recent merger, they should be able to develop new products that can help them rebound from the losses they took from products like Fosamax and Singulair. Transportation In order to effectively and efficiently deliver their products throughout the world, Merck has contracted UPS to deliver them. As of June 2011, the joint venture known as MSD has announced that it would include and take care of Merck’s logistics and distribution around the world, which till now only managed Merck’s distribution, warehousing and transportation in North America (Berman, 2011).According to Willie A. Deese, executive vice president and president, Merck Manufacturing Division,â€Å" This expanded agreement with UPS allows us to focus on our core business as a global healthcare leader that looks for innovative ways to bring our medicines and vaccines to patients in emerging markets and markets around the world† (businesswire, 2011). The collaboration, which began in early 2003 with UPS just taking care of the transportation and delivery of products over time, has extended to North American distribution, warehousing and multi-modal transportation services (businesswire, 2011).Merck now entrusted UPS with taking care of their logistics in countries like China, Brazil as well as Latin America among others. UPS also stated that it would establish proper facilities in order to store goods and vaccines so in order to ensure quicker and efficient delivery system (Berman, 2011). Merck believes that this extended partnership with UPS would result in being cost effective in the long run. Although Merck does rely on other logistic companies as well, but they rely more heavily on UPS and this current agreement will only further increase the company’s trust in the logistics firm (businesswire, 2011).Ethical Standards The code of ethics from Merck’s website (2013) states: Being a good corporate citizen means that we comply with all applicable laws, rules and regulations. Also, we serve our society, from the local communities in which we operate to the national and international levels, by supporting a number of programs, including those that improve health and promote environmental sustainability. All of our activities are guided by our corporate responsibility principle of â€Å"Helping the World Be Well†. (p. 1) Ethical Violations Merck & Co. ave developed some great products that have helped many people. They have even done some amazing humanitarian work that follows their mission of their code of ethics, which is to help the people of this world be as healthy as they can. For example, After World War II, many people who were living in Japan could not afford the Merck developed drug streptomycin (Miller & Goldman, 2003). Streptomycin was the first drug to fight tuberculosis. Merck decided to sell streptomycin at a much lower cost in Japan so it could be distributed to those who nee ded it and could not afford it at market value.Merck is also one of the nation’s largest donors to UNICEF. One of the ways that Merck has partnered with UNICEF is by donating a drug called Mectizan. Mectizan is a drug that Merck has developed to fight river blindness, and Merck has teamed up with UNICEF in order to distribute Mectizan to anyone who needs it (Unicef, 2013). But the business strategies for Merck have not always been as ethically sound as it may appear. On September 30th 2004 the drug that Merck had created to treat arthritis and severe pain, Vioxx, was pulled off the shelves for good.The reason behind shutting down this drug was that it was found to have caused serious illnesses after long term use, including heart attacks and strokes (Kay, 2004). Vioxx was withdrawn only five years after being introduced, but in that short time had effected many, in those five years there had been over eighty million prescriptions for Vioxx (Kay, 2004). Dr David Graham, the as sociate director for science and medicine at the Office of Drug Safety, estimates that Vioxx caused between 88,000 and 139,000 heart attacks, of which thirty to forty percent have most likely died (Kay, 2004).But did Merck know of this threat before they started to market the drug? Before Merck released Vioxx in 1999 their own scientist conducted tests on Vioxx while developing it. In 1997 these scientist did a study and found that patients who were being tested on were six times more likely to have heart complications when using Vioxx compared to other arthritis drugs. But this study was never released and the data was never sent to the FDA (Culp & Isobel, 2007).Scientist also completed a VIGOR (Vioxx Gastrointestinal Outcomes Research) test on the drug and found evidence that people who take Vioxx had a five times higher chance of having a heart attack (Cahana & Mauron, 2006). In 2001 Merck scientist had another test called â€Å"meta-analysis†. The meta-analysis tested 20, 000 patients, and again showed that these patients were twice as likely to have a heart attack while taking Vioxx compared to other drugs (Culp & Isobel, 2007). Not only did Merck know about these risks and kept the results to themselves, they also trained their sales people on how to dodge the subject.In order to train the sales force who were going to be selling Vioxx to doctors, Merck developed a card game called dodgeball. The purpose of this game was to teach the sales force different ways to dodge questions asked by doctors about the effects Vioxx has on the heart (Daily, 2005). This again proves that Merck knew of these risks caused by taking Vioxx, but was trying to make sure that information was kept in house. Another instance where Merck lacked good ethical decision making is when they decided to pay Elsevier to publish a magazine for them. Elsevier is a publishing company that focuses mainly on medical and scientific literature.Merck’s marketing team decided to pay Elsevier to publish a journal called The Australiasian Journal of Bone & Joint Medicine. This journal was made to look like any other peer-reviewed medical journal but it was far from it. Merck’s marketing department handpicked the articles that they wanted to put in this journal, with the purpose of trying to control what articles were chosen to be in the journal. They took advantage of this situation by picking articles that favored Merck products and disguising this marketing scheme as a peer review journal (Grant, 2009).For instance in the second issue twenty one of the twenty nine articles spoke about Merck’s products in a favorable way, nine of them positively talking about Vioxx (Grant, 2009). Merck also had an ethical downfall when management decided to change the prices of their product. Not only was Merck paying doctors to prescribe Merck medicine when patients were in the hospital, Merck also started to give hospitals a ninety two percent discount on their medicine; with the idea that after the patient was discharged they would want to stay on the same medicine (Merck to pay whistleblower, 2008).The insurance company would pay full price for the drugs after the patient was discharged and that is where Merck would bring in their profit. An employee within Merck saw what was going on and didn’t approve. A lawsuit quickly followed and Merck ended up paying $671 million, including sixty eight million dollars to the whistleblower (Merck to pay whistleblower, 2008). Even after settling Merck did not think they were in the wrong with this pricing, as Merck to pay whistleblower (2008) reported Merck making a statement saying they â€Å"stands by its pricing strategies but is keen to resolve the dispute† (p. 2). Unfortunately for Merck, Vioxx isn’t the only drug that has caused people to question Merck’s ethical decision making when it comes to their customers. As noted above, Merck released a drug called Propecia t o the public that helped men with baldness. The problem with Propecia is that men are starting to see a great increase in sexual problems. Merck says that only one out of fifty men will see significant sexual side effects, and those side effects will disappear after you stop taking Propecia (Thornton, 2011). But that doesn’t seem to be the case.A recent study by Micheal Irving showed that ninety percent of his test patients still showed signs of sexual problems forty months after being off of Propecia (Thornton, 2011). This is where ethics will hurt Merck the most. Not only have there been hundreds of millions of dollars in fines and settlements that will be paid out, but if Merck continues to keep making unethical managerial decisions, Merck will lose the trust of their customers. Even though there is no evidence yet that Merck knew that Propecia would harm people after they stopped taking the drug, it’s hard not to think of how the Merck management decided to handle Vioxx.The financial hit is a big blow that will slow present and future projects, but money is a lot easier to gain back than trust. References Berman, J. (2011, June). UPS and Merck extend relationship with a global supply chain focus. Retrieved February 2013, from http://www. logisticsmgmt. com/article/ups_and_merck_extend_relationship_witha_ global_supply_chain_focus/ businesswire. (2011, June). UPS and Merck Expand Their Distribution and Logistics Agreement. Retrieved February 2013, from businesswire. com: http://www. businesswire. com/news/home/20110628005271/en/UPS-Merck-Expand-Distribution-Logistics-AgreementCahana, A. , & Mauron, A. (2006). The story of Vioxx—no pain and a lot of gain: ethical concerns regarding conduct of the pharmaceutical industry. Journal of anesthesia,  20(4), 348-351. doi:10. 1007/s00540-006-0432-7 Culp, D. R. , & Isobel, B. (2007, August 6). Merck and the Vioxx       debacle. Retrieved February 13, 2013 from St. Johns University,       Web site: http://www. stjohns. edu/media/3/2c0778b7593f4a178b60354abc80bad8. pdf Grant, B. (2009, April 30). Merck published fake journal. Retrieved Febuary 12, 2013 from, Web site: http://www. the-scientist. om/? articles. view/articleNo/27376/title/Merck- published-fake- journal/ Daily, M. (2005, July 18). Merck used ‘dodge ball’ on Vioxx       questions-lawyer. Retrieved February 12, 2013 from, Web site:       http://www. redorbit. com/news/general/178738/ Kay, J. ( 2004, November 22). The Vioxx scandal: Damning senate       testimony reveals drug company, government complicity. Retrieved 2013, February 9 from , Web site: http://www. wsws. org/en/articles/2004/11/viox-n22. html Merck & Co. , Inc. International Directory of Company Histories. 2000.Retrieved February 19, 2013 from Encyclopedia. com:  http://www. encyclopedia. com/doc/1G2-2843800076. html Merck Sharp & Dohme Corp. , a subsidiary of  Merck & Co. , Inc. (2009-2013). Retrieved February 18 , 2013, from http://www. merck. com/index. html Merck to pay whistleblower. (2008). TCE: The Chemical Engineer, (801), 12. Miller, C. , & Goldman, K. (2003, October, 23). Merck, aids, and       Africa. Retrieved February 2, 2013 from New York University,       Leonard N. Stern School of Business Web site: http://pages. stern. nyu. edu/~lcabral/teaching/aids. pdf Muse, L.A. (2011). Flexibility implementation to a global workforce: a case study of Merck and Company, Inc. Community, Work & Family,  14(2), 249-256. Singer, N. (March 9, 2009). Merck to Buy Schering-Plough for $41. 1 Billion. The New York Times, Retrieved from http://www. nytimes. com/2009/03/10/business/10drug. html? _r=0 February 19, 2013. Thornton, J. (2011). A Hair-Raising Side Effect. Men's Health (10544836), 26(10), 102-105. Unicef (2013). Merck & co. , inc. Retrieved January 12, 2013 from, Partners Web site       http://www. unicefusa. org/partners/corporate/merck. html Pharmaceutical Industry and E. Merck Ag Historical background of the business Today Merck & Co, Inc. is one of the most recognizable companies in the pharmaceutical industry. When asked about Merck, most people think that it is and always has been a US company. However, the company’s history can be traced all the way back to the 1600’s where it was started in Darmstadt, Germany. Friedrich Jacob Merck purchased a local store in 1668 where he prepared and sold medicines. The store was called â€Å"At the sign of the Angels† and would remain in the Merck family for many generations (Merck & co. , 2000). In 1827, Heinrich Emmanuel Merck and renamed E.MERCK AG transformed the store into a drug manufacturer. The pharmacy was so successful that by 1855 E. Merck AG was selling medications worldwide. It was at this time that Merck decided to send a company officer to the United States to set up a sales office. Once in the U. S. in 1899, Heinrich’s grandson George Merck bought one hundred and fifty acres in Rahway, New Jersey. A couple of years later, in 1903, Merck started production in its new U. S. headquarters. By this time Merck was not just producing drugs, it was also starting to produce different types of chemicals and there was also a research lab.When the United States entered World War I in 1917, George Merck, fearing that Germany would win the war and take over his company, sold all of his stock to a US company named Alien Property Custodian (Merck & Co. , 2000). This ended all of Merck’s ties to Germany. After the war, George Merck regained a controlling share of the company in 1919 and from that day forward Merck has always been a publicly owned company. George Merck continued to grow the company until his death in 1926 at which time his son, George W. Merck took over. In 1926, George W.Merck decided to merge the company with Powers-Weightman-Rosengarten, which was a Philadelphia, based pharmaceutical company. In 1927 the company was officially incorporated and renamed Merck & Co. Inc. This merger gave George W. Merck the capital he needed to recruit new chemists and biologists, which lead to the discovery of vitamin B12. Vitamin B12 was a huge success, but because the war had been over for several years, new foreign companies were continually underselling Merck. With no new products in sight, George W. Merck decided to merge with a Baltimore company by the name of Sharp & Dohme, Inc.This merger was believed to have saved Merck from going under; it gave Merck new marketing facilities and a new distribution network, which it desperately needed. By the time George W. Merck died in 1957, the company had hit the one hundred million dollar mark. Not only was the dollar mark significant, George’s death marked the last time a Merck family member would ever be in control. From the 60’s on, Merck continued to raise its market share taking advantage of its research and development, which continually produced new and popular drugs every year.Today Merck employs over fifty five thousand people and produces some of the most well known pharmaceutical products on the market. With profits totaling a little fewer than six billion dollars and annual sales of over twelve and half billion dollars, Merck is considered one of the best pharmaceutical companies in the world. Products Throughout the years, Merck has made itself a reputation for developing high quality products that consumers know will work. The drugs are developed to help with all different types of problems.Some medicines are used for every day symptoms like a stuffed up nose and some are used for more serious illnesses like the treatment of HIV. Since Merck & Co. , Inc. was founded; it has always made a point to have an above average research and development program so that it could appeal to a wide variety of consumers no matter what symptoms they were trying to cure. Some of the first products ever distributed by Merck in the 1820’s were morphine, co deine and cocaine. These three products allowed Merck enough revenue to begin research on other types of products.In 1933 Merck scientists discovered vitamin B12 which was, at the time, used as a therapeutic drug. The sales from B12 alone were enough to carry Merck into the next decade. Although Merck scientists discovered cortisone, which is a steroid, and streptomycin, which is used to treat tuberculosis, the 1940’s, 50’s and 60’s were fairly slow periods for Merck. Other products such as Aldomet, which is used to treat depression, Indocin and Clinoril which are anti-inflammatory drugs, were developed but none of them had the impact on revenue that Merck was used to.It was not until the mid to late 70’s that Merck came out with some new products that really connected with consumers. It was at this time that Timoptic and Enalapril were invented. Timoptic is a hepatitis vaccine that helps with the treatment of glaucoma and Enalapril is a high blood pressu re medication. Sales from these two drugs were well over a half a billion dollars by the early 1980’s. Things only got better for Merck from the 1980’s through 2000. During this time Merck produced over twenty new drugs.Some of the more popular drugs include Cosopt, used in the treatment of glaucoma, Propecia, which is used to treat hair loss, Maxalt, which is used for migraine headaches, and Singulair, which treats cases of asthma. Although all of these medications worked out very well for Merck’s profit, there were three drugs that stood above the rest. Vasotec was a treatment for congestive heart failure and Merck’s first billion dollar a year drug. That was followed by Vioxx which is a pain medication used to treat arthritis and also a billion dollar a year seller. The most popular drug Merck ever produced was Zocor.Zocor is a cholesterol-fighting drug that was introduced in 1992. Not only was zocor a multi-billion dollar a year drug, it was one of th e most successful selling pharmaceutical drugs ever (Merck & Co. , 2000). Zocor accounted for over four billion dollars in worldwide sales in 2004 alone. With products like these and a continued dedication to research and development, Merck will be a major player in the pharmaceutical industry for many years to come. Company Locations Merck and its subsidiaries have locations all over the world. Their main headquarters is currently located in Whitehouse Station, New Jersey.Merck takes pride in being a global healthcare leader. According to their website they currently have 83,000 employees worldwide (Merck. com). In 2009, Merck merged with competitor Shering-Plough, which extended Merck’s reach into the global economy. According to Muse (2011), Merck has over 75 locations, â€Å"Drawing from its locations in 77 countries, Merck’s worldwide sales for 2009 were $27. 4 billion (Muse p. 251). † These locations stretch across the continental United States from New Je rsey to San Francisco. The worldwide locations include factories in Europe, the Middle East, Africa, and Japan.Merck’s revenues continue to climb with their global growth. The revenues recorded in various regions by Merck in 2012 include, â€Å" |2012 Revenues |United States | |(By Geographic Region) |$20. 4 billion | | | | | |Europe, Middle East and Africa | | |$13. billion | | | | | |Japan | | |$5. 1 billion | | | | | |Other | | |$8. billion (Merck. com). † | | | | Merck is seen as a leader on the stage of global expansion. It is one of the largest pharmaceutical companies in the world. Merck continues to grow and expand its influence in an effort to provide their vaccines and medicines across the globe. Their recent merger will allow them to test markets that they have not had experience in before, and help increase their profits globally.Style of International Business Merck has been on the forefront of International Business and is one of the leaders at adapt ing to new employees in diverse geographic locations. The company has maintained a policy of progressiveness in their workplace. According to Muse (2011) Merck is one of the leaders in this field. They have been ranked among the Top 50 Companies for Diversity and the 100 Best Corporate Citizens List (Muse p. 251). † Merck makes diversity one of their top priorities and it is well documented on their website. They have created a voice for the different diverse peoples within their company.It is a new way to maintain communication with the feelings and thoughts of various groups in different regions throughout the world. Merck calls these Global Constituency Groups. According to their website, â€Å"We've taken an innovative, global approach to our diversity strategy through the creation of Global Constituency Groups. These groups represent the diverse constituencies in our company, our customers and society, in general. The members represent different geographies, cultures and areas of expertise. Together they reflect Merck employees and customers globally†. Merck. com) With this process, Merck is able to keep up with the problems and successes within the different constituencies throughout the company. Merck’s plan to achieve diversity within their company begins from the leadership positions. Filling these positions with people mindful of diversity has allowed the company to continue to keep its place among the most diverse companies in the world. According to Merck, â€Å"Diversity and inclusion are integrated into our leadership model, and are considered an essential leadership skill for all of our employees (Merck. com). Merck preaches this diversity not only to their employees, but their suppliers as well. â€Å"At Merck, we believe that having a diverse supplier base helps us better understand and anticipate the needs of the people we serve (Merck. com). † This creates a positive culture throughout the company of acceptance an d tolerance towards others. It is a progressive policy that allows Merck to continue to flourish and it is a model style of International Business. Strategic Alliances Merck has made many strategic alliances throughout the years to help improve their products or supply them to a wider range of people.In the late 80’s Merck made an alliance with one of the biggest companies in the United States, Johnson & Johnson. According to the International Directory of Company Histories (2000), â€Å"In 1989 Merck joined with Johnson & Johnson in a venture to develop over-the-counter (OTC) versions of Merck’s prescription medications, initially for the U. S. market, later expanded to Europe and Canada (encyclopedia. com)†. This helped Merck products become more easily available to consumers throughout the world. At the time this alliance was hailed as a blockbuster deal that would create growth for both companies.This deal lasted over twenty years and was very profitable for both parties. When Merck sold their stake in the deal in 2011, they received $175 million for it. The largest alliance Merck has made recently is the acquisition, or reverse merger, of their rival Schering-Plough. The $40 billion deal was made in an effort to keep up with other companies in the pharmaceutical market, especially Pfizer. According to Singer (2009), â€Å"The merger would join pharmaceutical companies that had combined sales of $46. 9 billion last year (p. 1). † This alliance expanded Merck globally and allowed it to tap into Schering-Plough’s resources.These resources ranged from new drugs for Merck to market, to a bigger pipeline to promote their own drugs. According to Singer (2009), â€Å"The merger gives it access to successful brand-name Schering products with much longer patents, like the prescription allergy spray Nasonex. And Merck could capitalize on Schering’s investments in promising biotechnology drugs (Singer p. 1 ). † This al liance helped Merck continue to be a formidable competitor in the global pharmaceutical market. With this deal happening only a few short years ago, Merck continues to grow and utilize its new resources in the market today.Exports Merck’s exports consist of various types of pharmaceuticals. Some of their most profitable exports include Singulair, Fosamax, Nasonex, and Vytorin. Singulair is used to treat seasonal allergies like other drugs such as Claritin and Allegra. It can also be used to prevent asthma attacks. It has been very profitable for Merck in the past. Yet, sales began to dramatically fall when media reports about the disturbing side effects of Singulair began to surface. The worst of these side effects included depression and suicidal thoughts.Still, even in spite of Singulair’s profit drop, Merck continues to make large amounts of money off of the export. Nasonex and Vytorin are two products that were a result of the Merck and Schering-Plough merger. Naso nex is a nasal spray used to treat seasonal allergies in adults and children. It has proved to be a positive part of the merger, becoming one of Merck’s most profitable products. Vytorin was already part of a joint effort between Merck and Schering-Plough even before the merger. Vytorin is a combination of ezetimibe and simvastatin used to treat cholesterol levels.They created and marketed the product together. After the merger, Merck continued to sell and market Vytorin. Fosamax is another popular export of the Merck Company. It is used to treat osteoporosis and other bone diseases. Fosamax was previously one of Merck’s best selling drugs. Yet, because of patent problems, they have lost large amount of money. According to Singer (2009) â€Å"Merck’s former blockbuster bone drug Fosamax has gone generic, and in a few years the same thing will happen to its best-selling allergy and asthma drug Singulair (pg. 1 ). † These exports have been Merck’s ma in products in the past.In the future, with their recent merger, they should be able to develop new products that can help them rebound from the losses they took from products like Fosamax and Singulair. Transportation In order to effectively and efficiently deliver their products throughout the world, Merck has contracted UPS to deliver them. As of June 2011, the joint venture known as MSD has announced that it would include and take care of Merck’s logistics and distribution around the world, which till now only managed Merck’s distribution, warehousing and transportation in North America (Berman, 2011).According to Willie A. Deese, executive vice president and president, Merck Manufacturing Division,â€Å" This expanded agreement with UPS allows us to focus on our core business as a global healthcare leader that looks for innovative ways to bring our medicines and vaccines to patients in emerging markets and markets around the world† (businesswire, 2011). The collaboration, which began in early 2003 with UPS just taking care of the transportation and delivery of products over time, has extended to North American distribution, warehousing and multi-modal transportation services (businesswire, 2011).Merck now entrusted UPS with taking care of their logistics in countries like China, Brazil as well as Latin America among others. UPS also stated that it would establish proper facilities in order to store goods and vaccines so in order to ensure quicker and efficient delivery system (Berman, 2011). Merck believes that this extended partnership with UPS would result in being cost effective in the long run. Although Merck does rely on other logistic companies as well, but they rely more heavily on UPS and this current agreement will only further increase the company’s trust in the logistics firm (businesswire, 2011).Ethical Standards The code of ethics from Merck’s website (2013) states: Being a good corporate citizen means that we comply with all applicable laws, rules and regulations. Also, we serve our society, from the local communities in which we operate to the national and international levels, by supporting a number of programs, including those that improve health and promote environmental sustainability. All of our activities are guided by our corporate responsibility principle of â€Å"Helping the World Be Well†. (p. 1) Ethical Violations Merck & Co. ave developed some great products that have helped many people. They have even done some amazing humanitarian work that follows their mission of their code of ethics, which is to help the people of this world be as healthy as they can. For example, After World War II, many people who were living in Japan could not afford the Merck developed drug streptomycin (Miller & Goldman, 2003). Streptomycin was the first drug to fight tuberculosis. Merck decided to sell streptomycin at a much lower cost in Japan so it could be distributed to those who nee ded it and could not afford it at market value.Merck is also one of the nation’s largest donors to UNICEF. One of the ways that Merck has partnered with UNICEF is by donating a drug called Mectizan. Mectizan is a drug that Merck has developed to fight river blindness, and Merck has teamed up with UNICEF in order to distribute Mectizan to anyone who needs it (Unicef, 2013). But the business strategies for Merck have not always been as ethically sound as it may appear. On September 30th 2004 the drug that Merck had created to treat arthritis and severe pain, Vioxx, was pulled off the shelves for good.The reason behind shutting down this drug was that it was found to have caused serious illnesses after long term use, including heart attacks and strokes (Kay, 2004). Vioxx was withdrawn only five years after being introduced, but in that short time had effected many, in those five years there had been over eighty million prescriptions for Vioxx (Kay, 2004). Dr David Graham, the as sociate director for science and medicine at the Office of Drug Safety, estimates that Vioxx caused between 88,000 and 139,000 heart attacks, of which thirty to forty percent have most likely died (Kay, 2004).But did Merck know of this threat before they started to market the drug? Before Merck released Vioxx in 1999 their own scientist conducted tests on Vioxx while developing it. In 1997 these scientist did a study and found that patients who were being tested on were six times more likely to have heart complications when using Vioxx compared to other arthritis drugs. But this study was never released and the data was never sent to the FDA (Culp & Isobel, 2007).Scientist also completed a VIGOR (Vioxx Gastrointestinal Outcomes Research) test on the drug and found evidence that people who take Vioxx had a five times higher chance of having a heart attack (Cahana & Mauron, 2006). In 2001 Merck scientist had another test called â€Å"meta-analysis†. The meta-analysis tested 20, 000 patients, and again showed that these patients were twice as likely to have a heart attack while taking Vioxx compared to other drugs (Culp & Isobel, 2007). Not only did Merck know about these risks and kept the results to themselves, they also trained their sales people on how to dodge the subject.In order to train the sales force who were going to be selling Vioxx to doctors, Merck developed a card game called dodgeball. The purpose of this game was to teach the sales force different ways to dodge questions asked by doctors about the effects Vioxx has on the heart (Daily, 2005). This again proves that Merck knew of these risks caused by taking Vioxx, but was trying to make sure that information was kept in house. Another instance where Merck lacked good ethical decision making is when they decided to pay Elsevier to publish a magazine for them. Elsevier is a publishing company that focuses mainly on medical and scientific literature.Merck’s marketing team decided to pay Elsevier to publish a journal called The Australiasian Journal of Bone & Joint Medicine. This journal was made to look like any other peer-reviewed medical journal but it was far from it. Merck’s marketing department handpicked the articles that they wanted to put in this journal, with the purpose of trying to control what articles were chosen to be in the journal. They took advantage of this situation by picking articles that favored Merck products and disguising this marketing scheme as a peer review journal (Grant, 2009).For instance in the second issue twenty one of the twenty nine articles spoke about Merck’s products in a favorable way, nine of them positively talking about Vioxx (Grant, 2009). Merck also had an ethical downfall when management decided to change the prices of their product. Not only was Merck paying doctors to prescribe Merck medicine when patients were in the hospital, Merck also started to give hospitals a ninety two percent discount on their medicine; with the idea that after the patient was discharged they would want to stay on the same medicine (Merck to pay whistleblower, 2008).The insurance company would pay full price for the drugs after the patient was discharged and that is where Merck would bring in their profit. An employee within Merck saw what was going on and didn’t approve. A lawsuit quickly followed and Merck ended up paying $671 million, including sixty eight million dollars to the whistleblower (Merck to pay whistleblower, 2008). Even after settling Merck did not think they were in the wrong with this pricing, as Merck to pay whistleblower (2008) reported Merck making a statement saying they â€Å"stands by its pricing strategies but is keen to resolve the dispute† (p. 2). Unfortunately for Merck, Vioxx isn’t the only drug that has caused people to question Merck’s ethical decision making when it comes to their customers. As noted above, Merck released a drug called Propecia t o the public that helped men with baldness. The problem with Propecia is that men are starting to see a great increase in sexual problems. Merck says that only one out of fifty men will see significant sexual side effects, and those side effects will disappear after you stop taking Propecia (Thornton, 2011). But that doesn’t seem to be the case.A recent study by Micheal Irving showed that ninety percent of his test patients still showed signs of sexual problems forty months after being off of Propecia (Thornton, 2011). This is where ethics will hurt Merck the most. Not only have there been hundreds of millions of dollars in fines and settlements that will be paid out, but if Merck continues to keep making unethical managerial decisions, Merck will lose the trust of their customers. Even though there is no evidence yet that Merck knew that Propecia would harm people after they stopped taking the drug, it’s hard not to think of how the Merck management decided to handle Vioxx.The financial hit is a big blow that will slow present and future projects, but money is a lot easier to gain back than trust. References Berman, J. (2011, June). UPS and Merck extend relationship with a global supply chain focus. Retrieved February 2013, from http://www. logisticsmgmt. com/article/ups_and_merck_extend_relationship_witha_ global_supply_chain_focus/ businesswire. (2011, June). UPS and Merck Expand Their Distribution and Logistics Agreement. Retrieved February 2013, from businesswire. com: http://www. businesswire. com/news/home/20110628005271/en/UPS-Merck-Expand-Distribution-Logistics-AgreementCahana, A. , & Mauron, A. (2006). The story of Vioxx—no pain and a lot of gain: ethical concerns regarding conduct of the pharmaceutical industry. Journal of anesthesia,  20(4), 348-351. doi:10. 1007/s00540-006-0432-7 Culp, D. R. , & Isobel, B. (2007, August 6). Merck and the Vioxx       debacle. Retrieved February 13, 2013 from St. Johns University,       Web site: http://www. stjohns. edu/media/3/2c0778b7593f4a178b60354abc80bad8. pdf Grant, B. (2009, April 30). Merck published fake journal. Retrieved Febuary 12, 2013 from, Web site: http://www. the-scientist. om/? articles. view/articleNo/27376/title/Merck- published-fake- journal/ Daily, M. (2005, July 18). Merck used ‘dodge ball’ on Vioxx       questions-lawyer. Retrieved February 12, 2013 from, Web site:       http://www. redorbit. com/news/general/178738/ Kay, J. ( 2004, November 22). The Vioxx scandal: Damning senate       testimony reveals drug company, government complicity. Retrieved 2013, February 9 from , Web site: http://www. wsws. org/en/articles/2004/11/viox-n22. html Merck & Co. , Inc. International Directory of Company Histories. 2000.Retrieved February 19, 2013 from Encyclopedia. com:  http://www. encyclopedia. com/doc/1G2-2843800076. html Merck Sharp & Dohme Corp. , a subsidiary of  Merck & Co. , Inc. (2009-2013). Retrieved February 18 , 2013, from http://www. merck. com/index. html Merck to pay whistleblower. (2008). TCE: The Chemical Engineer, (801), 12. Miller, C. , & Goldman, K. (2003, October, 23). Merck, aids, and       Africa. Retrieved February 2, 2013 from New York University,       Leonard N. Stern School of Business Web site: http://pages. stern. nyu. edu/~lcabral/teaching/aids. pdf Muse, L.A. (2011). Flexibility implementation to a global workforce: a case study of Merck and Company, Inc. Community, Work & Family,  14(2), 249-256. Singer, N. (March 9, 2009). Merck to Buy Schering-Plough for $41. 1 Billion. The New York Times, Retrieved from http://www. nytimes. com/2009/03/10/business/10drug. html? _r=0 February 19, 2013. Thornton, J. (2011). A Hair-Raising Side Effect. Men's Health (10544836), 26(10), 102-105. Unicef (2013). Merck & co. , inc. Retrieved January 12, 2013 from, Partners Web site       http://www. unicefusa. org/partners/corporate/merck. html