Saturday, August 31, 2019

Choose the Right Major

All people go throw many stages from childhood to the end of their life. They build their dreams to become something worth in their lives such as a teacher, doctor or anything else. The most important part of these dreams to become reality is to choose the right major. Many people said students should decide what they want to be before they start studying in university. I disagree with them because students at university get help from their friends or teachers to choose their career. In addition to that, many students are changing their decision of major when they start studying at the university.The first reason is, teachers encourage the student to decide the best major according to their personality. Also, their friends help them to choose their major. When students go to university, and start study they begin to communicate with other people [listening]. From those people students take some experiences, and decide what they want to study. For example, students can ask anyone from the student service to give them more information generally about the major and the majors which are available in the university, and also about the major that they want to study.The second reason is, many students change their majors when they go to university. According to the reading A, â€Å"about 80 percent of students who start college switch their major at least one time†. This is because when students start study they got more information about their majors, and they understand what they want to study so they change their majors. For example, in the university students study many subjects to help them to decide which major they want.In conclusion, in this essay I disagree that is necessary for students to know their major before interning the university because students can get some help from their friends who have experiences or from their teachers. Also, many students take time to decide what they want and change their major many times. I think in the future the go vernment will give some courses to the students before they go to the university to help them to decide what they want to study and give them more information about their major. Choose the Right Major All people go throw many stages from childhood to the end of their life. They build their dreams to become something worth in their lives such as a teacher, doctor or anything else. The most important part of these dreams to become reality is to choose the right major. Many people said students should decide what they want to be before they start studying in university. I disagree with them because students at university get help from their friends or teachers to choose their career. In addition to that, many students are changing their decision of major when they start studying at the university.The first reason is, teachers encourage the student to decide the best major according to their personality. Also, their friends help them to choose their major. When students go to university, and start study they begin to communicate with other people [listening]. From those people students take some experiences, and decide what they want to study. For example, students can ask anyone from the student service to give them more information generally about the major and the majors which are available in the university, and also about the major that they want to study.The second reason is, many students change their majors when they go to university. According to the reading A, â€Å"about 80 percent of students who start college switch their major at least one time†. This is because when students start study they got more information about their majors, and they understand what they want to study so they change their majors. For example, in the university students study many subjects to help them to decide which major they want.In conclusion, in this essay I disagree that is necessary for students to know their major before interning the university because students can get some help from their friends who have experiences or from their teachers. Also, many students take time to decide what they want and change their major many times. I think in the future the go vernment will give some courses to the students before they go to the university to help them to decide what they want to study and give them more information about their major.

Friday, August 30, 2019

Chivalry Codes

Is chivalry dead? Chivalry is a combinations of qualities expected from an â€Å"ideal† knight, in the contemporary times. Some ideas of chivalry include courage, honesty, loyalty, courtesy, and truth. Chivalry was the medieval principles governing knighthood and knightly conduct, if you were a knight; you were expected to follow these rules. But not all knights in the seventeenth century followed these rules honestly or courageously. Some knights dishonored the code, putting their pride above the people they were supposed to serve.If there were dishonest knights in the contemporary times, chivalry in the modern world is indefinitely dead. Generations of dishonesty of corrupted knights from the contemporary times to modern caused the neglection of chivalric duties to collapse. The nature of these fraudulent knights is to put themselves above others, their character influence the young and future knights to be. When Wictred fought with Prince Tristan in the literary work, Trist an & Isolde, his true corrupted side showed as he cheated to defeat the prince. According to the chivalric code, honesty was absent, which shows lost of chivalric regards.Wictred’s way of play reflected off of the younger beings who probably will mock his way of traits and qualities, which begin the chain of deceitful knights and people, each losing more chivalric manners along the way. As more degraded knights ascend the line of modern time, they carry a burden on their shoulders, which is symbolized by chivalry. As careless features begin to arise within the generations of knights, the fewer burdens they want on their shoulders. As time passes on, chivalric codes are decreasing, and soon, dropped forever.

Thursday, August 29, 2019

Behaviour management assignment

Behaviour management assignment INTRODUCTION Background information on the child The little boy in question (known as Greg Booker from here on – to protect his real identity) is 3 and three and quarter years old. He has attended nursery since the age of 3 and a half. Greg came for two pre visits to the nursery and both times it was observed that he did not want to leave mum’s lap and was unwilling to access the activities available, nor was he encouraged too by mum. In a group or class situation he is quiet and shy and does not like to talk to his peers and you can see he feels awkward around them. He has made little attempt to make friends within the group, selecting only one other child that he likes to stand with. Greg has made firm attachments to all the adults within the setting and will happily talk freely to them. (1)†Yet there is another group of children in our midst whose behaviour should be just as much a cause of concern to us, a group whose needs are different but just as important , and who are apt to get lost in the noise and confusion of modern life. They are the quiet children, the painfully shy, the withdrawn, the anxious, the friendless – the ‘invisible children’ (Makins, 1997). but when he feels comfortable with an adult he is confident to talk to them clearly and concisely. Background information of the family Greg lives with mum and dad and has one older sister they live within a nuclear family environment. All grandparents and aunts and uncles live in Scotland. Greg’s older sister attends the school attached to the nursery, she never attended nursery but upon entering the reception class took a very long time to settle (6 months to be precise – information obtained from reception class teachers). Mum realised that by not letting his sister attend the nursery setting was a mistake and freely admitted that she did not want the same for her son. Observed behaviour of parent and child on entering the setting When mum dro ps Greg of at nursery, she will come into the setting pick him up and kiss and cuddle the child excessively before leaving, however he is not distressed when mum leaves although Greg was distressed on his first day at nursery and then did not cry from day two at the setting. Mummy has always told Greg that he is her baby and she will often say in his presence, â€Å"you are my baby, I don’t want him to grow up and I’m going to be lonely when he goes up to reception class†. Other parents have commented that when Greg is invited to birthday parties, mum will stay and Greg will remain seated on mummy’s knee for the duration of the birthday party, whilst other children are confident to stay by themselves. Mum recently approached me to say that she was organising a party for Greg’s fourth birthday, but when mum asked him for the names of the children he wanted to invite, he said he only wanted to invite two of the children from the setting.

Wednesday, August 28, 2019

Expatriate Training Research Paper Example | Topics and Well Written Essays - 1500 words

Expatriate Training - Research Paper Example This will require them to be trained on diplomatic and negotiation skills to enable them to have a niche over the rival firms such like eBay and especially in those countries where technology is in its penetration phase. Since environment is likely to change, the expatriates also need to be trained on ways to mitigate any negative effect and to capitalize on any opportunity that may come from shift in the external business environmental factors. These will include involving issues like building a strong customer relations and developing towards conforming to different situations of government policies that may affect their business in different countries. With Amazon being an online purchasing store, it is required that its employees should be able to work around the clock as orders come to process them for further ordering from the supplying firms and also to process payments for the orders. In this case, expatriate training will help to enhance the few interactions which employees will have with customers and in addressing governmental issues posed at different times during operation. The bulk of this work will require employees to be flexible, to work with minimum supervision and also to be self-driven. The expatriate training should focus on the qualities and skills that will enable them to be able to achieve the above goals and within the shortest time possible. This will require the expatriates to be taught on ways and tricks to process the orders within the shortest time possible and with minimal effort. Online businesses also require people who are enthusiastic with technology and the various software and application that are used. Amazon however has its own software and applications that it uses and the expatriates will be trained on how to use this software that are allowed in the country of deployment without putting at risk the security of any of the data belonging to Amazon (http://www.ukessays.co.uk/essays/business/amazon-external-environment.php) . An internal environment in any business organization is core to its success and Amazon is not an exemption. Thus to achieve the set targets, relationships between employees, and the clients and also with the management is very important to the organization. In Amazon, that culture, which is performance-based, must be upheld to ensure smooth running of all departments of the organization and that the company’s objectives are met. The employees should have an induction workshop to be briefed and informed about the organizations policy and culture; it is in that forum that they get to seek any clarification on any matters that they may wish to know about the organization. It is here that the expatriates should have some bonding sessions with their colleagues as they exchange ideas and share experiences. Jeff Bezos, the owner of Amazon, envisioned an online shopping where one can buy anything and everything at the convenience of one click of a computer. In line with this, the e xpatriates have to be encouraged to be innovative and help with this long-term vision of Amazon and spread it globally with excellent results and within a record timeframe. The training the expat are given should enhance their involvement by introducing

Tuesday, August 27, 2019

Continuing influence of original colonies Essay

Continuing influence of original colonies - Essay Example Some of these elements, including the desire for religious freedom, are reflected in contemporary culture and politics. For instance, Massachusetts Senator John Kerry introduces the â€Å"Workplace Religious Freedom Act† every year, never with the support to pass it. Religious freedom in New England seems to be as pressing a need as it was for the Pilgrims and Puritans in the 17th century. Noticeably, Pilgrim and Puritan laws were not created in order to protect religious diversity, as might be the justification for contemporary legislation. But the spirit of the law as protecting, instead of hindering, one’s freedom to one’s own ideas is the same in both cases. The motivation behind the bill is to protect citizens from restricting workplace religious activities1. It accomplishes this by closing loopholes related to â€Å"reasonable accommodations† to employees’ religious needs. Kerry’s legislation is aimed at enforcing religious freedom in t he workplace throughout the entire country; nevertheless, the value of religious freedom seems only to be a value worth actively pursuing in the region where the New England Colonies developed. ... On a more practical level, New England has always relied on the fishing industry for economic viability, due mainly to the fact that fish is an abundant resource for New England industry and to the fact that fishing was established early in its history. In fact, the Colony of Massachusetts Bay began as a fishing venture motivated primarily by profit. Fish, along with timber and crops, were exported to every corner of the world from New England’s famous port towns. From the point of view of any modern New Englander from Gloucester, New Bedford or Plymouth, which are all steeped in American history, fishing has a central place in the legacy of their hometowns. In an opinion piece about fishing regulations2, the writer sides with small fishing operations that have gone out of business because of â€Å"catch shares.† Catch shares refer to fishery management systems that dedicate a secure privilege to harvest a specific area or percentage of a fishery’s total allowabl e catch to individuals, communities or associations. In doing so, he or she is siding with the traditional New England orientation toward the small business structure that values family. Also, the article emphasizes the cuts being made to organizations designed to protect fishing, which shows just how much New England values (and always has valued) its fishing infrastructure. Briefly alluding to the history of the region and its dependence on fishing for its economic and social livelihood, the author is appealing both logically and emotionally to a sense of connection to the past for a prosperous future. The Middle Colonies, made up of Pennsylvania, New York, New Jersey, and Delaware, were considerably more diverse in their origin that the New England Colonies. Although some came to the

Monday, August 26, 2019

The Business Proposal (The Genius Junior) Essay

The Business Proposal (The Genius Junior) - Essay Example The Genius Junior is a small firm that operates as an education mediator that mediates between the education institutes in UK and the Saudi students who wish to study in the UK. The goal of the company is to extend support to students who are keen on studying in UK and get cultural exposure and make profits at the same time through a stipulated commission from the institutes that the students get enrolled in. The company started its operations at a small scale with just the owners getting successful associations with institutes and signing contracts to make a commission of 20-25% on every enrolled student. The first year of operation saw decent returns on investment and all stakeholders were keen at getting associated with the company for the future feasibility of the project. Several theories and researches explain that it’s easier to penetrate a market that has some competition than the one that is entirely new for any product or services in terms of exploration. There will certainly be enough takers of a service that boasts of future nurturing and better career prospects. The most unique thing about this service being provided to students of Saudi Arab is that they or their parents do not have to struggle and run to and fro in trying to meet the formalities. In order to find out the interests, preferences, and influential factors of the target market, i.e. children in the age group of 14-25 years, an extensive market research will be conducted. The ideas generated from this market research will be utilized in targeting the potential consumers of the facility to be able to under go courses at UK schools and universities. In order to remain competitive, the company will strive for constant improvements in services and associations in future within the financial and time constraints. Games Workshop is successfully operating in the gaming industry and has made significant

Sunday, August 25, 2019

Benefits of Securing a Border Research Paper Example | Topics and Well Written Essays - 1000 words

Benefits of Securing a Border - Research Paper Example As the paper highlights border security has become one of the most contentious aspects in many countries across the globe. A good case study is that of the United States that has benefited tremendously in her Border Patrols. Border patrol in U.S traces its history way back as early as 1904, when mounted watchmen of the U.S. Immigration Service patrolled the border in effort to prevent illegal crossing; however, their efforts were irregular and undertaken only when resources permitted. In the early years of twentieth century, customs violations and intercepting communications to â€Å"the enemy† seemed to be of a greater concern than enforcing immigration regulations. Agencies charged with the responsibilities of inspecting people and goods entering and leaving noticed that their efforts were totally ineffective without border enforcement between inspection stations. A higher head tax and literacy requirement imposed in 1917 for entry prompted more people to try to enter illega lly. From this paper it is clear that a number of amendments were done to the constitution in line with securing the nation’s border, however, the Eighteenth Amendment to the United States Constitution, prohibiting the importation, transport, manufacture or sale of alcoholic beverages had greater effects. With the passage of this constitutional amendment and the numerical limits placed on immigration to the United States by the Immigration Acts of 1921adn 1924 respectively, the border enforcement was able to receive renewed attention.

The Impact of the First World War Assignment Example | Topics and Well Written Essays - 6000 words

The Impact of the First World War - Assignment Example   The fear of a German uprising was no longer in the minds of the French as all the land that Germany was required to hand over was returned; the most important regions being Alsace and Lorraine. Germany's army was downsized to a maximum of 100,000 men; they were denied the use of tanks. The air force was disbanded and the navy was only allowed to staff and operate six ships; however, no submarines were allowed to remain operational. The land fifty kilometers east of the Rhine was pronounced a demilitarised zone, where no soldier with a weapon could enter. Overseas land previously owned by Germany was given to different European countries. The Saar, Danzig, and Memel were put under the control of the League of Nations. One of the more important outcomes was the "War Guilt Clause" that required Germany to take on full responsibility for starting the war. This was important as it would show the world France's reason for participation in the war was only to defend against the German attacks. This also meant that Germany would have to pay reparations to France for the physical damage caused during the war. Clemenceau was the most satisfied out of the three leaders with the humiliation of Germany, and France now found new power in the world. Wilson was very pleased because as a result of the Paris Peace Conference his vision of the League of Nations had become a reality. The League would make it possible to solve conflicts all over the world in a peaceful manner, displaying Wilson's desire for worldwide peace. He said as much: "To promote international co-operation and to achieve international peace and security." (Wilson) The cost of creating the League was losing his other 13 original ideology points to gain the global support that was necessary to start the League and make it a success. As the post-war world was in the struggle of finding peace, there were a lot of countries intrigued by the international organization that promised to bring world peace. Wilson was of a peace-loving nature and was clearly angered by the great number of restrictions that Germany had to agree to in the Treaty as well as all the reparations they had to make. The harsh conditions that were imposed on Germany embarrassed and shamed Wilson. Nevertheless, he was very satisfied with the start of the League of Nations. One fact to be noted is that reparations to the United States were not mandated in the Treaty. It is true that the losses of the United States were not on the same scale as Britain and France because of their late entrance into the war. Lloyd-George was perhaps the least satisfied with the final terms of the treaty because of Clemenceau's persistence to bankrupt the German economy.  Ã‚  

Saturday, August 24, 2019

Marketing Environment of Child Rights and You UK Case Study

Marketing Environment of Child Rights and You UK - Case Study Example CRY along with its operations based in the Indian sub-continent has also successfully expanded along international regions like the United States of America and the United Kingdom thereby inviting a stronger foothold for fighting for children’s rights (Child Rights and You, n.d.). Micro and Macro Environments of CRY UK Micro Environment The Micro-Environment of CRY based in the United Kingdom would be analyzed on the basis of the internal policies and the organizational design or operational framework. CRY based in the United Kingdom operates based on a Board of Trustees who is followed by the team of Executive Committee. Finally, the main operational arm of the organization comprises of volunteers that immediately follows the Executive Committee. ... CRY UK also renders equal emphasis to the parameters of transparency and accountability in its different operations. The organization also focuses on empowering individuals working at different levels for fighting for the rights of poor children. Macro Environment In the macro environment of CRY UK the organization works through the development of partnerships with key external stakeholders for the organizational expansion and accomplishment of different important projects. On the social front, the organization maintains an effective relationship with large scales of donors, people who desire to volunteer for the concern’s activities and different project administrators. Politically the non-government organization is a registered charity firm under the United Kingdom Registrations Act and henceforth the donations made to the concern are subjected to tax deductions. The organization is socially responsible in that it helps the poor and malnourished children to effectively survi ve, develop both in their physical and intellectual fronts and thereby participate in social development. Moreover, in the macro environment, the concern also takes the active cooperation of different stakeholders like print and visual media to create a large amount of social and individual awareness. The support of different corporate and social and individual associations is gained so as to sustain the spontaneity of the fund raising operations (Child Rights and You, n.d.). SWOT Analysis of CRY Strength Child Rights and You as a non-government organization operates on fundamental vision and mission ideology that focuses on helping the children gain their own rights in regards to better nutrition, education, and social upbringing.  

Friday, August 23, 2019

'Level of processing' model of memory Math Problem

'Level of processing' model of memory - Math Problem Example Eysenck tested this model to see if it could explain reported differences between young and old people in their ability to recall verbal material. Eysenck predicted that there would be an interaction between age and recall condition, more specifically that younger participants would recall more words when using deeper levels of processing. 30 subjects between 55 and 65 years of age, and 30 subjects between 18 and 30 years of age were allocated to one of three groups - two incidental learning groups and one intentional group. Each group was presented with a list of 27 words and their recall was tested later. One group was asked to count the letters in each word; one group had to read each word and think of a word that rhymed with it. Neither of these two groups was told that they would later have to recall these words. Finally, the intentional learning group was asked to read through the list and memorize it for later recall. The aims of this study are to investigate whether different learning or age groups have an effect on recall ability and whether there is an interaction between the two groups (age and learning). You must use appropriate ANOVA techniques to investigate and interpret the given information and to complete the tasks given on the following page. From the table above, it is evident that the young are able to recall many words than the old. The young can recall some 11 words with a standard deviation of 6.077 while the old can recall some 8 words with a standard deviation of 2.5. The ability to recall among the young people is a bit varying than the recalling ability of the old people. Table 2: Total number of words recalled per Group Level of processing Mean N Std. Deviation Counting 6.65 20 1.182 Rhyming 7.00 20 1.170 Intentional 15.15 20 4.511 Total 9.60 60 4.809 Intentional group has the highest recalling ability than the other groups. Participants in this group can recall 15 words with a standard deviation of 4.5. Rhyming groups recalls 7 words with a standard deviation of 1.1 while counting group recalls 7 words with a standard deviation of 1.2. On variation, the intentional group has the most variations in terms of recalling than the other groups. Table 3: Tests of Between-Subjects Effects Source Type III Sum of Squares df Mean Square F Sig. Corrected Model 1254.600 5 250.920 123.403 .000 Intercept 5529.600 1 5529.600 2719.475 .000 AGE 112.067 1 112.067 55.115 .000 GROUP 925.300 2 462.650 227.533 .000 AGE * GROUP 217.233 2 108.617 53.418 .000 Error 109.800 54 2.033 Total 6894.000 60 Corrected Total 1364.400 59 R Squared = .920 (Adjusted R Squared = .912) Both the age and the group are significant in determining the number of words one can recall at 95% level of significance. Further, age and group have significant interaction with each other. Figure 1 From figure 1 above, it is evident that the young had the least ability to recall among the counting group than the old age. However, both Rhyming and intentional had the highest recalling capability than the same groups of old the age. Among the old, both counting and rhyming have the same recalling capacity. Table 4: ANOVA of total number of words recalled per Age Sum of Squares df Mean Square F Sig. Between Groups 112.067 1 112.067

Thursday, August 22, 2019

Message to Garcia Essay Example for Free

Message to Garcia Essay In the short writing, Message to Garcia, the author Elbert Hubbard writes of a man named Rowen, who is tasked with delivering a letter to the leader of the Cuban resistance forces, General Garcia. But the story is not about his trials, or his mishaps. Its not about his journey nor his thoughts about the situation at all. The story actually mentions Rowan only a few times throughout. The author instead focuses on the qualities of Rowan, not on what he says, but, rather on what he didnt. The narrator of the story, who is never actually named but whom can be assumed to be in close conjunction with those who were tasked with reaching Garcia, speaking of Rowans undeniable loyalty to the cause. The situation was seemingly impossible. Trying to reach Garcia who was actively trying to stay hid to deliver a message asking for his cooperation. With no questions asked Rowan sats out on his three week journey to deliver the message. The connection between Rowans silence on the details of the mission, and his loyalty to the task and the ones giving it to him are explained further in the story. In fact later on, it becomes less of a story and more of a guidance manual to the readers. It explains that how many times nowadays, or perhaps most times, success is gained through back ended means. People in general sense do not possess the mindset to focus on a task, nor have the willingness to gain that mindset. When told to accomplish a task, they wither go do it halfheartedly is at all, or simply shift it to the side, or the gutter as the author put it. The main connection that the author made was that Rowan did not ask where General Garcia was. Not because he already knew, but that he knew enough about the situation that he had already made the determination that he was tasked with the mission because nobody else knew either. To put it simple, it did not matter whether he asked or not. His success of the mission relied purely on his skills and accomplishing the task. Asking questions like who  and how ere of little consequence. He had to do it and he would do it. As I said before, the author was not concerned with the journey, but his willingness and loyalty to mission accomplishment to begin the impossible journey at all. The author also goes into details about another man, to describe the polar opposite of Rowan. He describes the man as impervious to reason, unable to take orders, nor give them. Basically describing a large portion of todays society. The people with a society of people such as that is that progress is halted, not because the means arent there, but that there is not initiative to find the means and put them into effect to get things done. To a logical thinking person, the conclusion is this, that Rowans qualities of dedication to the mission, and his comrades that would more the likely be benefited by his actions, even if he could not immediately see it, are qualities that we should all strive to possess. To better ourselves and those around us is a mission in itself, one that we should all be loyal too, not just for us, but for everyone, For is everyone shared this sentiment, perhaps the need to send a letter to General Garcia would not have existed at all. The need for us to observe situations, or missions, if you will, from a third person point of view, rather than looking just at how they will benefit us, or take us out of our comfort zones, becomes more necessary as we receive more responsibility to get the mission accomplished.

Wednesday, August 21, 2019

The Law Enforcement In England And Wales Criminology Essay

The Law Enforcement In England And Wales Criminology Essay Police officers are perceived as the gatekeepers of the criminal justice system (Mendias Kehoe, 2006:70). They are in charge in ensuring safety and security of the public, preventing crimes, and apprehending offenders. Law enforcement in the England and Wales traces its roots back to the kin policing established in the 1800s to provide protection in the communities. This form of policing flourished until increasing threats brought by terrorism compelled the government to implement changes in the police force in the 1960s. The decades following this transformation gave way to various concepts aimed at enhancing the quality of police service. Today, England and Wales follow a law enforcement style of policing in each of their decentralized forces. This paper aims to provide a critical appraisal of the policing style in the England and Wales. The next section of the paper presents the evolution of the police force. This is followed by a discussion of the different features of the England law enforcement. Critical appraisal is presented in the discussion section. Lastly, a conclusion is presented. Law enforcement in England and Wales According to Alpert and Dunham (2009), policing in England started as a private force for the elite members of society. Those who cannot afford to hire their own guards rely on a shared and informal form of policing called the kin policing. People are expected to ensure their own safety, serve as guardians of their own community, and bring forth criminal acts to the court of law. According to Beckley (2007: 938), this form of policing was employed until the 1960s when terrorism threats prompted the development of more appropriate policing strategies. The Police Act of 1964 provided for the establishment of more scientific and organized law enforcement to meet the changing needs of the public. Police professionalism standards such as the Metropolitan Police Principles and the Association of Chief Police Officers Statement of Common Purpose and Values of 1985 were established. Various innovative changes in the police force followed these developments and continued to this day. Despite these changes, policing in England and Wales still exhibit some characteristics of its older form as evidenced by the lack of centralized police system. Today, law enforcement in England and Wales consist of 43 individual county police forces. Having this system implies diversity in policing strategies between the different counties (Hawdon, 2008: 191). Moore (1992: 107) on the other hand observed that despite all this, professional law enforcement remained the main basis of any policing strategy. Features of law enforcement in UK and Wales Das and Verma (2003: 190) contend that police organizations are shaped by culture, political priorities, and immediate needs of the situations surrounding them. Law enforcement in England and Wales has distinct features that separate it from other police forces in the world. Professionalism Das Verma (2003: 204) noted that law enforcers in Europe are noted for their professionalism. They are among the best in terms of training and education. Despite this advantage, Moore (1992: 110) argued that professionalism in police force is an ambivalent concept. He believes that police professionalism should not only focus on criminal laws but also those laws that protect citizens from arbitrary action by government agencies- including the police. Thus, the police officers emphasis on the crime control rather than the law contradicts the essence of their professional duty. Multi-functioning McGarrell, Freilich, and Chermak (2007: 143-4) contend that law enforcement has changed more than any other agency in the public bureaucracy since the 1960s. The authors added that the developments in Englands police force were not only brought by threats of terrorism but also by the social and political changes in the past two decades. Police force had to adjust to meet the changing needs of the public. Police officers are not only expected to enforce laws but also to ensure public safety and security, investigate crimes, do job-related community service, control traffic, and respond to publics call for assistance (Das Verma, 2003: 224). The multitude of tasks expected from the police makes it hard to measure police performance and thus result to ambivalent perceptions about the force. Alpert and Dunham (2009) assert that people have conflicting views of the police. They are brave crime fighters and heroes on one hand and corrupt, heartless, and brutal on the other. Public perceptions about the police are often based on selective positive and negative experiences and not on their collective performance. Beckley (2007: 939) also noted the lack of centralized police organization like the National Guard or Compagnie Re ´publicaine de Se ´curite ´ in the United States and France in the UK. This function is decentralised to the various police forces. UK police officers are in charge of community policing tasks as well as specialist police duties. They have to perform tasks from traffic supervision and community patrol to criminal investigation. Technologically advanced According to Swanson, Territo and Taylor (1993), police officers not only need human and conceptual skills but also technical skills. They have to be able to use computers; analyse evidence; apply management principles; and perform planning, accounting and budgeting functions. The use of radios, mobile phones and vehicles in patrolling enables police to respond to calls for help quickly. Computers made reporting and record keeping more effective and efficient. The advancements in forensic science brought investigations to a different level. However, critics say that the use of patrol cars instead of foot patrolling limits interaction between the community and police, thus contributing to the degradation of police and community relations. Power Weisburd and Braga (2006:13) stressed the polices capability to perform their tasks without public intrusion. Despite the fact that they are established by the government and accountable to the public, they remain independent (Moore, 1992:109). Alpert and Dunham (2009) contended that police officers are provided with enormous discretionary power which may not be beneficial to the public. Das and Verma (2003:224) argued that the fact that the UN General Assembly formulated the Code of Conduct for Police Officials in 1979 attests to the authority of the police and the need to prevent abuse and misuse of this power. Reactive policing Moore (1992: 112) also recognised the reactive characteristic of policing. Police officers tend to rely on patrols and calls from the public to solve crimes. The advantage of this strategy is that it prevents the police from interfering in private lives of the people without their consent. This ensures that the participation of the police in the situation is necessary, official and acceptable to the community. However, this strategy is problematic because it implies that a crime has to be committed before action can be taken. While this is an effective law enforcement strategy, it is not a good crime control method. Moore also observed that it cannot be utilised in crimes where there are no victims or witnesses or where victims refuse to come forward. Discussion and appraisal of the law enforcement policing Based on the discussion provided above, it is apparent that the law enforcement style of policing in England and Wales has advantages and disadvantages. Although police officers in the England are known for their professionalism, their tendency to focus on crime prevention rather than law enforcement reflects misguided understanding of their professional duty. As a result, police legitimacy and effectiveness remains problematic. According to Moore (1992: 111), there is no indication that policing has delivered in their diverse functions. He noted that: there are no positive correlations between patrolling and crime prevention; police crime investigations are not always fruitful; response systems do not guarantee arrests; and criminal punishments do not always result to rehabilitation. This shows that implementation of policies like the UN General Assemblys Code of Conduct for Police Officials and the UNDP Police Act (UNDP Bureau for Crisis Prevention and Recovery, 2003) are necessary to ensure police accountability; improve efficiency and effectivity; and prevent police misuse and abuse of power. The multitude of police functions makes performance evaluation difficult and inconsistent. Beckley (2007: 939) noted the absence of specialised duty delegation in the UK police. Police officers are expected to be able to perform duties from the community patrolling to crime investigation. While this is advantageous in the overall growth of police officers, it prevents the development of specialised and quality skills that can only be learnt from constant exposure to a specific task. The multiple functions required of the police force prevent them from specializing and optimizing their potential in a given function. They are spread too thin to be efficient and effective. Technological advancements on the other hand have undoubtedly promoted the efficiency and responsiveness of the police force. They are able to provide timely response to citizen calls. However, too much reliance on technology discourages the police to depend on their own resources and hone their skills. By using vehicles instead of foot patrolling, the police loses the opportunity to mingle and connect with the people. Some police officers obtain information from the internet and database records instead of going to the field. Investigation and prosecution proceedings are relying more and more on forensic science to provide evidence. This reduces if not eliminates the need for people participation in the process. Employment of technology reduces interaction and prevents the creation of a better and more cooperative relationship between police and the people. As a result, the gap between police and community expands. People are not comfortable dealing with the police and may hesitate to call for assistance or help them in their investigations. Hillyard and Tomlinson (2000: 400) believe that police officers have political, legal and financial accountabilities. However, closer inspection of the police force reveals that police officers are only accountable to their professional mandates and not to anyone else (Moore, 1992: 116). Despite the introduction of the value for money service in law enforcement under the Thatcher government (Long, 2004), the police force still have the discretion to decide which public concerns are important and which are not part of the police work. They can refuse assistance if they deem the work to be irrelevant to police functions. This promotes public distrust to the police. Although there is increasing recognition of the need to enforce police accountability, the question about how and to whom they should be made accountable remains. The authority and autonomy given to the police force on the other hand creates dangers on the way police works. While the idea of a law enforcement emancipated from the government is alluring, the unrestrained power it afforded the police can be daunting. The police functions as an objective agency that protects the people from criminals and from the government abuses; however, there are beliefs that the people are also susceptible to dangers from the police force itself. Organisations like the UNDP recognize the authority of the police force and how this could result to abuse and misuse of power. There is a need to draw the line between accountability and authority; between policing and coercion; and between public safety and citizen liberty. Furthermore, Moore (1992: 117) also argued that the lack of governmental regulation and public control in policing also results to their stagnation. They remain oblivious of the government and citizens views, thus they are limited by their own perceptions and mandates and fail to make appropriate improvements in their services. The UK police force is now perceived as an industry rather than an agency. They have become productivity-oriented (high clearance rate, high arrest rate and high productivity) rather than community-oriented. As mentioned earlier, the lack of centralised police agency in the UK gives the police force more authority and responsibility. Their involvement is not only limited to the community but to the entire nation. They have more authority than their counterparts from other countries. They have too much power and too little regulation, thus, the risk of police domination. Reactive policing requires the police to take action after a crime is committed. This ensures that the police are not unlawfully intruding into the lives of the citizens. However, this promotes retrospective instead of preventive action. It relies on victims and witnesses in order to enforce the suitable police action. Also, reactive policing does not ensure the apprehension of the offenders. Thus, this strategy does not help reduce crime. Another issue is the deterioration of relationship between police and the public. Negative issues like police discrimination, aggression, abuse and corruption had resulted to the publics mistrust of law enforcers. This prevents the public from cooperating with police officers in community patrols and crime investigations. They do not believe that helping the police will lead to safer and more secure community. The flow of information to the police is not as strong as it used to be. According to Moore (1992:117), some people choose to stay quiet than cooperate with the police to avoid retaliation from the violators. This implies not only the peoples lack of trust on the integrity of the police force but also on their capability to protect them. Conclusion The law enforcement style of policing in the UK and Wales is both favourable and detrimental to the performance and effectivity of policing and the publics perception of the police force. It promotes professionalism of the police force. The various features of policing in England and Wales reflect the governments attempt to improve the police force and meet the changing needs of the public. The integration of various strategies such as reactive policing addresses the concern of involvement and interference. Technological advancements are incorporated for more efficient, effective, responsive, and up-to-date system. However, the multitude of functions makes performance evaluation problematic. Despite these imperfections, law enforcement style of policing in the UK and Wales is effective as it provides a common backdrop to the various police agencies in the said places.

Tuesday, August 20, 2019

Human Genome Project: Legal, Ethical and Social Implications

Human Genome Project: Legal, Ethical and Social Implications In this dissertation we consider the human genome project in its wider context. We take a brief overview of the aims, the working and the sequencing techniques used together with the timeline achieved. The ability to sequence genes has given a greater understanding of the human genome. This understanding has thrown up a great many legal, social medical and ethical problems and dilemmas which clearly need tube both addressed and solved. This dissertation looks at many of the issues, analyses them, and considers some of the possible solutions. We primarily consider the situation in the UK, but comparisons are drawn with the arguably more litigious society in the USA, particularly in consideration of the legal implications of the subject. We make a consideration of the ethical position of researchers, medical professionals and also individuals whether they are considered as research subjects or simply as private citizens. We draw conclusions from our findings and present them. Introduction The Human Genome Project (HGP) was a vast and ambitious concept which was conceived in the 1980s and formally started in 1990, the main stated aim of which was to achieve the mapping of the entire human genome. It was originally anticipated that the process would take approximately 15 years and was therefore scheduled to be complete in2005/6 but the advances in technological hard and software improved sequencing ability to the extent that the entire undertaking was actually completed in 2003. The project itself involved over 1,000 principal scientists in over 200Universities, Government laboratories and private facilities. The stated and defined primary goals of the project were to: identify all the approximately 20,000-25,000 genes in human DNA, determine the sequences of the 3 billion chemical base pairs that make up human DNA, store this information in databases, improve tools for data analysis, transfer related technologies to the private sector, and address the ethical, legal, and social issues that may arise from the project. (after Collins FS et al 1998), Although the project was primarily about the sequencing of the human genome, part of the intrinsic preparatory work was carried out in the sequencing techniques of other organisms such as E Coli and Drosophila(the fruit fly) Brief description of the genome The genome of an organism is a term which relates to the sum total of the DNA of the organism. This is replicated in virtually every cell in the organism and it should be noted that it includes not only the nuclear DNA but the extra-nuclear DNA as well. It is the basic code for making all of the constituent proteins and thereby it is the ultimate determinant of the various processes that occur within the organism. The human genome has approximately 3 billion base pairs (abbreviated as A T G C). These are arranged in sequential style in the DNA double helix and are unique to an individual. There are large areas of repetition and large areas which appear to be â€Å"biologically silent† but we shall discuss this in rather greater detail later in this dissertation. (Nichols, E.K. 1998) Sequencing techniques used The eventual sequence derived in the human genome project does not represent anyone individual’s genome. The original samples were taken from multiple sperm and blood (from females) donations which were mixed and sent to labs across the world. The differences were comparatively insignificant as the vast majority (99.7+%) of the genomic sequence is identical in every individual.(Collins et al 2001) Sperm is used, as the DNA : protein ratio is higher in sperm than for other cells and is therefore easier to prepare. It should be noted that sperm contains both the male and female sex chromosomes (X Y) so equal numbers of each were added to the samples and the blood DNA was added to ensure that female derived DNA was also present. The original sequencing techniques (in the 1990s) were primarily those of gel electrophoresis, which is slow, labour intensive and expensive. It was reported that the entire human genome project team managed to sequence 200Mb of gene in 1998. Advances in technology and automotive processing allowed one participant (DOE Joint genome institute) to sequence 1.5 billion bases in one month in January 2003. (Soga, Kakazuet al 2004) It was the discovery and large-scale implementation of the capillary gel electrophoresis technique that was mainly responsible for these advances. One of the major advantages of the capillary tube method is that the comparatively larger surface area of the capillary tube allows for greater heat dissipation which was the rate limiting step for the older models as too much heat would melt the gel carrier. (Tsai et al.2004) The actual mechanism for sequencing is extremely complex but in essence each chromosome, which comprises between 50 and 250 million base pairs, is fragmented into more manageable size pieces. (the sub cloning step).Each piece is then set up as a template from which a set of smaller fragments are generated, each one is a base pair shorter than the parent (the template preparation and sequencing reaction steps). (Marsha et al 2004) The resulting fragments are separated by electrophoresis which is an ideal method because of their differing size (separation step). The end base of each fragment is then identified (base-calling step). Automated sequencers then can analyse the resulting patterns which will give representation of the base order which is then â€Å"reassembled† into blocks of about 500 bases each (for ease of handling the data) . Number of very sophisticated computer programmes then analyse the raw data for potential errors and can identify specific genes and silent areas (Krill P et al 2000) Once sequenced, the final details are placed in the public domain such as Embank for open access to all. We have made several references to the draft and final sequences. The explanation of the difference lies in the fact that there are both intrinsic errors in the processing and also in the variability of the genetic material used. The original draft sequence was published in June 2000. This was the result of each area being analysed at least 4-5times to minimise the errors. This original data was presented inspections of about 10,000 base pairs and the chromosomal locations of the genes were known at this stage. A higher quality â€Å"final† reference sequence was published in April 2003which represented a 8-9 fold sequencing of every chromosome to fill in gaps and to minimise errors which were quoted as being no more than one in 10,000 bases (Kaiser et al 2004) Human genome project timeline 1990 Official commencement of HGP work Apr. 1998 HGP passes sequencing midpoint March 1999 Target completion date for â€Å"Human genome Working Draft† accelerated to early 2000 Dec 1999 Human Chromosome 22 sequenced (first human chromosome ever sequenced) May 2000 Human Chromosome 21 sequenced March 2000 Drosophila genome completed April 2000 Draft sequences of Human Chromosome 5, 16 19 completed June 2000 Working draft of DNA sequence achieved Dec 2001 Human Chromosome 20 sequenced Dec 2002 Complete Mouse genome draft publication Jan 2003 Human Chromosome 14 sequenced June 2003 Human Chromosome Y sequenced July 2003 Human Chromosome 7 sequenced Oct 2003 Human Chromosome 6 sequenced March 2004 Human Chromosome 13 19 sequenced May 2004 Human Chromosome 9 10 sequenced Sept 2004 Human Chromosome 5 sequenced Oct 2004 Human gene count estimates changed from 20,000 to 25,000 Dec 2004 Human Chromosome 16 sequenced March 2004 Human Chromosome X sequenced April 2005 Human Chromosome 2 4 sequenced Legal issues Patenting The whole issue of patenting the genome and the offshoots of the project caused an enormous furore in medical, scientific and pharmaceutical circles. The opposing ends of the spectrum argued that, on the one hand, the benefits of such a fundamentally important piece of work should be freely available for the human race in general and the scientific community in particular, to the other who believed that the money to be made by the commercial exploitation of the genome could be used to finance other related projects. (Nuffield 2002) The culmination of the argument was that the genome was fragmented and patented piecemeal. In order to fully understand the implications of this we must explore the workings of the patent system. In the UK, patents are issued by the Patent Office. Applications must be received within 18 months of the discovery (it is 3 years in the USA). Once granted, they remain in force for 20 years from the date of issue. In order to be considered suitable for a patent to be issued a product must generally satisfy four criteria, namely: Useful – the patent application must be accompanied by some practical application of the invention (whether it has actually been applied or has been proposed in a purely theoretical sense) Novel – it must be a new, or previously unknown entity. Non-obvious –it must be a significant modification that is not simply a minor adjustment made by someone with appropriate skill and training in that particular area Detailed – the item must be described in sufficient detail to allow person who has appropriate training in the field to use it for the purpose for which it was designed. This is often referred to as the â€Å"enablement criterion† ( after Cochran and Cox. 1997) The academic argument referred to earlier was intensified by the knowledge that raw products of nature are not generally patentable. Special provision had to be made by the agencies on both sides of the Atlantic to allow for patents to be issued for genetic material. The general guiding principal in issuing patents is that they are issued on a â€Å"first to invent† basis. Where a specific application is not immediately obvious (as is the case with many pharmaceutical and bio-tech products), provisional patents can be applied for and enforced for up to one year after either discovery or publication of the findings. This is a mechanism to allow for the full implications of the finding to be worked out and patented.(Nickols F 2004) In specific reference to our considerations here, we should note that with bio-tech discoveries in general and DNA patents in particular, coincident with the application for a patent, the applicant is required to deposit a sample of their discovery in any one of 26 designated biological culture repositories which are distributed throughout the world. (Bjorn tad DJ, et al. 2002) It is a reflection of both the scale and importance of this work to appreciate that to date, there have been over 3 million separate genome-related applications for patents received on file throughout the world. The legal ramifications of this process are huge. In the UK, USA and Japan (where the bulk of the applications for genome-related patents are filed) the system requires that the details of the applications are kept completely confidential until the full patent is finally issued. As we have discussed, this process can take up to a year. (Brown,2000) The corollary of this fact is that those scientists and companies who utilise the data ( which is available on the Internet) to evaluate clinical or pharmaceutical applications of gene sequences risk the issuing of a future injunction if it transpires that those particular sequences have been the subject of a previous patent application which has subsequently turned out to be successful. (Morris AH 2002) The 3 million genome related patents include the genes themselves, gene fragments, tests for specific genes, various proteins and stem cells. To satisfy the Patent Office the four tests set out above are specifically modified to accommodate genetic material thus: (1) identify novel genetic sequences, (2) specify the sequences product, (3) specify how the product functions in nature i.e., its use (4) enable one skilled in the field to use the sequence for its stated purpose (after Caulfield 2003) Even this is not completely sufficient for the current needs of science. If we take the example of gene fragments. Their function is often not known although their structure almost invariably is. The practical applications can be extremely vague. A quoted utility of a gene fragment has been cited as â€Å"providing a scientific probe to help find another gene†. Clearly it could cause substantial practical difficulties if a patent were to be issued on such a basis, and the subsequent usage was found to be substantially different, it would not invalidate the patent. The significance of this can be fully appreciated if we consider that the typical gene fragment, comprising about 500 bases (known as expressed sequence tags or ESTs) actually represent typically about20-30% of the active chromosomal genetic material, the full chromosome may be about 40-60 times larger than this. The active chromosomal genetic material is often referred to as canal and typically only contains its information-rich (or exon) regions. The scientific importance of these gene segments are that they represent very useful tools for research as they can duplicate the actions of genes, can be synthesised in the laboratory, and remove the need for scientists to manipulate the entire gene. (HUGO 2000) It can therefore be clearly be appreciated that such gene fragments are very useful tools in genetic research and the granting of patents touch entities has sparked off another major controversy in the scientific community. There have been major representations to the various Patent Offices throughout the world not to grant such patents to these universally important entities to applicants who have neither determined the base sequence of the genes nor yet determined their function and possible uses. As a result of this, the UK and USA Patent Offices decided to issue more stringent guidelines (effective as from 2001) which required that an application for patent of a gene fragment must now specifically state how the fragment functions before a patent can be issued. The wording is specific and substantial utility that is credible, but is still considered by many to be too indeterminate. (Thompson 1992) The basis behind the objections stem from the two main arguments already put forward. Firstly the patenting of such a â€Å"bottleneck or gatekeeper† product can seriously hinder the eventual development or even the characterisation of more complex molecules. Secondly, scientists are obviously wary of utilising such entities because of the possible financial constraints and penalties that would be imposed if the particular entity that they were using subsequently was found to bathe subject of a provisional (and therefore initially secret) patent application. In essence the patent of the gene fragment could be taken out after a comparatively small amount of scientific work and exert totally disproportionate control over the possible commercial and scientific development of more advanced genome research. (Schwarz D teal 1997), There are also less obvious, but very practical, implications to this type of patenting. Let us consider the situation where patents have been separately applied for, and granted to gene fragments, the gene and various proteins that the gene expresses. Any scientist wishing to-do research in that area has not only to pay the various license holders for permission to use their patented entity, but there are also hidden costs in the research necessary to determine where (and whether)the patents have been granted. (Short ell SM et al 1998), Not all research has been hampered or driven by the restrictive practices that the issuing of patents inevitably promotes. Let us consider the case of the Welcome Foundation who, in collaboration with ten other smaller pharmaceutical concerns, agreed to form a non-profitmaking consortium whose stated goal was to find and map out an initial300,000 common single nucleotide polymorphisms (SNPs). To date they have discovered nearly 2 million. In a truly philanthropic gesture they generated a publicly available SNP map of the human genome in which they patented every SNP found solely for the purpose of preventing others from making financial profit from them and making the information available to the public domain. The SNP is a single variation in the base sequence in the genome and they are found, on average, about one in every 500 base units. It can occur in an active or in a non-coding region. The effect will clearly vary depending upon the actual site of the variation but they are believed to be a fundamental cause of genetic variation which could give researchers important clues into the genetic basis of disease process or variations in responsiveness to pharmaceuticals. (Russell SJ1997) In addition it is believed that SNPs are responsible for variations in the way that humans respond to a multitude of potential pathogens and toxins. The SNP is therefore an invaluable tool in the research behind multifactorial disease process where complex environmental and genetic interactions are responsible for the overall phenotypic expression of the clinical disease state. (Santis,G et al 1994). We have referred in passing to the arguments that are currently raging relating to the issues on patenting genetic material. We should therefore consider the question of why patent at all? Would we be better off if the patent offices did not accept patents of genetic material? On first examination of the situation one might think that scientific investigation, in general terms, might proceed faster if all scientists had unlimited and free access to all information in the public domain. More careful consideration suggests however, the laws relating to intellectual property are built on the assumption that unless ownership and commercial profits can be reasonably secure (by means such as patents) few organisations would be willing to make the substantial investment that is typically necessary for development and research. The reasoning behind the mechanism of patenting intellectual property is therefore the marrying together of the need to secure a potential income from one’s work with the ability to allow the transparency of full publication of one’s discoveries which will therefore allow others to consider and utilise the information in their own research. (Berwick. 1996) Consideration of this point will suggest that the only other effective means of safeguarding the costs of one’s research would be total secrecy which clearly would not be in the general interest of the scientific community. If we add to the general thrust of this argument, the fact that, in general terms, the costs of development(post-invention) far outweigh the costs of research (pre-invention) we can see the economic sense in allowing innovative research-based firms the financial security of development by preserving the profit incentives by means of the Patent. (DGP 2002) In general terms we could view the patent mechanism as a positive development.(McGregor D 1965). Perhaps it is the breadth and number of the patents allowed in the field of genomic research that is the prime cause of unease in the scientific community. Special cases The arguments presented above can be broadened further if one of the natural extensions of the human genome project is the research into the possibility of cloning. We will not consider the (currently totally illegal) possibility of human cloning per se, but the therapeutic embryo cloning for the purposes of harvesting human stem cells. Such cells have immense potential for the study and therapy of a great number of disease process. As such they have enormous value as both intellectual and commercial property. The background to our discussion here includes consideration of the fact that courts in both the UK and the USA (Diamond v. Chakrabarty1980) have set precedents that single celled organisms (genetically modified bacteria) were intrinsically patentable. Legal argument then followed and shortly after there were similar rulings in favour of the patentability of simian stem cells. It logically follows that human stem cells should be afforded the same legal protection. The problem arises then that such a move would offend other legal principles such as technical ownership of another human being.(PGA 2001) Clearly there are enormous, and some would say insurmountable, difficulties in this region. We present this point simply to illustrate the potential difficulties surrounding ownership of the human genome. Broader legal issues Matters relating to the legal implications arising from the human genome project already fill countless volumes and we do not propose to make an exhaustive examination of the subject. There are however, number of major issues that arise either directly or indirectly from this project. They are largely interlinked with major social and ethical considerations and society, as a whole, has looked to the law to provide authoritative answers to some of them. (Stripling R et al.1992) One of the major problems associated with the potential ability to decipher the human genome is what to do with the information that it gives us. The ability to â€Å"read genes† brings with it the ability to discriminate with increasing degrees of subtlety. Discrimination is inevitably linked (historically, at least) with varying degrees of injustice. Whether it is the more obvious forms of discrimination such as insurance loading on the basis of predisposition to disease traits or more insidious and pernicious scenarios such as the ability to discriminate by genetic association with various ethnic groups, the ability is there. Will it become acceptable to refuse a mortgage application on the grounds that a person has been found to have a genetic disposition towards gastric cancer? Could health insurance premiums be based on an interpretation of various aspects of one’s genome? Some lawyers have already voiced their concerns about the ability of the law to provide genetic defences where it may be possible to challenge prosecutions on the ability to undermine the ethical principle of the validity of individual responsibility. The concept of free-will may be legally challenged in the prospect of discovery of various genetic traits that may predispose the individual to any one oaf number of behaviour patterns such as antisocial or thrill-seeking behaviour or violence. (Laurie G 2004) We currently accept that some manifestations of the human genome are now routinely enshrined in virtually unchallengeable law. DNA identification in criminal law is commonplace and scarcely questioned. Paternity suits are settled on the basis of genetic make-up. It doesn’t take a quantum leap of intuition to appreciate that there may soon be potential negligence cases brought against physicians and the like who fail to warn patients against the possibility of developing the ever increasing number of disease processes that are thought to have a genetic predisposition or component. The converse of that dilemma is should we expect physicians to suppress information found by genetic testing if there is no known cure? It follows that if we do not then people could be condemned to live with the knowledge that they are statistically likely to develop any one oaf number of diseases that they may very well, in other circumstances, have chosen to live in ignorance of. (Hyde, SC et al. 1993) Such cases have already surfaced, unsurprisingly in the USA. The estate of a colonic cancer victim unsuccessfully tried to sue a physician who failed to warn him about a genetic predisposition to colonic cancer from which he subsequently died. (Safer v Estate of Peck 1996) Some measures have been taken to try to protect exploitation of the genetic status of individuals where it is known. In the USA, some 16states have enacted laws to prevent both health and other insurance companies from using any form of genetic information to load premiums or to refuse cover. The initial reaction to these moves was one of delight, but it soon became clear that this was only of any potential value when the individual was asymptomatic. There was no bar to premium levels once the symptoms became apparent. To some extent, although the same level of legal prohibition does not apply in the UK, there is little difference. In this country, insurance companies will still load premiums or refuse cover once symptoms are apparent. (Rothstein MR1999) Social and medical considerations As we have implied earlier in this piece, the fundamental nature and importance of the human genome project to humanity as a whole means that its impact has great implications for the fields of law, ethics and social considerations. This is hardly surprising as, at the most basic level, all these three considerations are inextricably linked. Many of the social implications are also tied up with medical considerations and therefore we shall consider both of these elements together. Humans, as a race, have about 3 million pairs of bases that determine their genetic identity. Interpersonal differences between individual humans however, are determined by only one tenth of one present of our collective DNA. These three million base pairs are ultimately responsible for the physical and perhaps behavioural diversity that we observe in our species. (Erickson 1993) It is in the nature of inheritance that this variation has accumulated across the generations by small mutations or variations in the base sequences. These small differences are ultimately responsible for all human diversity including many overt disease process and predisposition or resistance to others. It is clearly important where these mutations take place as some have no functional effect, others may confer some form of advantage or benefit (and thereby the motive factor behind the evolutionary processes) others may cause disease or even be incompatible with life.(Griesenbach U et al 2002), It can be argued that all disease process have at least a genetic component. It can be completely due to a genetic malfunction such as the defect in the single gene for the cystic fibrosis transmembraneconductance regulator (CFTR) which results in an abnormal expression of one protein (the protein is still expressed, but due to one amino acid irregularity it folds in a different way) which results in the clinical situation of cystic fibrosis. (Piteous DJ et al 1997). Equally it may be due to a variation in the genetic code that modifies how the immune system responds to a particular pathogen (Yoshimura, K et al. 1992). As we understand how our genome influences literally every aspect of our health we will inevitably discover more ways to combat and tackle the diseases of mankind. Before we move on to discuss overtly social and ethical considerations we should logically extend the appraisal and examination of the medical issues, as they have a pronounced bearing on these other areas. With the advent of a greater understanding of the human genome and the cellular mechanisms of regulation and disease comes the prospect of gene therapy. On the one hand, the potential benefits for the sufferers of single gene mutation syndromes such as Tay Asch’s disease and Sickle Cell Anaemia are clear and undisputed, and yet the same technology has enormous social and ethical ramifications. There are thought to be about 4,000 single gene defect syndromes known to medical science at present (Termite, S et al 1998). These are the prime targets for the gene therapy researchers There are also an enormous number of more complex, but still primarily genetically determined disease process, such as Alzheimers Disease and schizophrenia, together with the commoner Diabetes Mellitus and hypertension variants which, although having a genetic component, are thought to be manifested after a period of interaction with environmental factors. It is quite possible that the techniques of gene therapy could ultimately be applied to these conditions as well.(Sikorski R et al 1998), Social and medical benefits The advent of understanding of gene function leads to other developments in the fields of both diagnostics and possibly preventative medicine. There is already considerable debate in pharmaceutical circles about the ability of researchers to utilise genetic information to make predictive assumptions about the ability of individuals to metabolise drugs. (Sailor R et al. 1998).One of the big problems with pharmacology is that, although a normal response to a particular drug can be predicted reasonably accurately, there are variations in genetic make-up which cause marked differences in threat of metabolism and excretion of some drugs. In many cases, these differences are of minor clinical importance, but in anaesthetic and cytotoxic drugs, the differences can be lethal. (Wriggle DJ 2004). As extension of this thread of argument is that it is known that some malignancies will respond well to some cytotoxic agents while others will show no response at all. The point behind these comments is that there are considerable efforts in the pharmaceutical industry to identify the particular regions of the genome which are ultimately responsible for these differences. If they can be found it follows that they may either be capable of modification (by gene therapy or other mechanism) or their effect can be measured so that the dose (or even the type) of medication can be adjusted with far more confidence in the knowledge of the likely pharmacodynamics of that individual patient.(Spindle et al 2002). It is the ultimate hope and goal of these efforts that the pharmaceutical industry will ultimately be able to speed up the process of drug development, make the drugs faster and more effective while dramatically reducing the number of adverse drug reactions observed. Social and medical difficulties Gene tests are currently in the process of being developed as a direct result of the human genome project. Some are already commercially available. the social implications here are huge. Quite apart from the medical implications of being able to predict the likelihood of possibly developing certain disease processes, there are legal and social applications as well. Courts have been presented with the results of gene tests in cases as diverse as medical malpractice, privacy violations, criminal cases and even child custody battles.(Diamond. B. 2001) The immediate difficulty in this area is, firstly that there is insufficient knowledge to be able to interpret the results of the gene tests with 100% accuracy. This, when combined with the knowledge that many of the conditions that currently can be tested for have no known or successful treatment, leads to enormous social and ethical dilemmas. While it may be considered quite reasonable to tell a person that they are carrying a defective gene for cystic fibrosis ( as a carrier state, rather than a symptomatic individual) and thereby allow them to make positive decisions with regard to whether they choose to run the risk of passing that particular gene on to future generations. Is it reasonable to tell someone in their 20s that they are likely to develop Alzheimer’s Disease in their 60s? How will that knowledge impinge upon their approach to life? (Douglas C 2002) Equally how will such knowledge affect the eventual application and acceptance of health insurance policies which are currently worked out on

Monday, August 19, 2019

Free Song of Solomon Essays: Milkmans Search for Self :: Song Solomon essays

Milkman's Search for Self in Song of Solomon Toni Morrison’s Song of Solomon is the story of Milkman's search for self. Milkman appears destined for a life of isolation and self-alienation. The Deads exemplify the patriarchal, nuclear family that has been a stable and critical feature of American society. The family is the institution for producing children, maintaining them, and providing individuals with the means to understand their place in the world order. But this nuclear patriarchal family creates many of the problems it should be solving. What represses the Deads is the father, Macon: his single-minded ambition, his unscrupulous greed, his materialism, and his lack of nurturing his family. Macon does not concentrate on being a loving and nurturing father; instead he concentrates on another aspect of paternity, the acquisition of property. Macon aspires to own property and other people too. His words to his son, "Let me tell you right now the one important thing that you'll ever need to know: Own things. And let the things you own own other things too. Then you'll own yourself and other people too". The owning of things as well as other people is a rather remarkable statement, coming from a descendant of slaves. Macon has not inherited this trait from his father, even though he mistakenly thinks so. His father had owned things that "grew" other things, not "owned" other things. Pilate Dead, Macon's younger sister, is a marked contrast to her brother and his family. Macon has a love of property and money, and this determines the nature of his relationships with others. Pilate has a sheer disregard for status, occupation, hygiene, and manners, and has the capability to respect, love, and trust. Her self-sufficiency and isolation prevent her from being trapped or destroyed by the decaying values that threaten her brother's life. The first part of the novel details the birth of Macon Dead III, the first black baby to ever be born at Mercy Hospital, which has been named by the African American community as No-Mercy Hospital. He acquires the name Milkman when people learn that his mother is still nursing him long after it is considered normal to do so. His father, Macon Dead, is a cold, insensitive man who places undue importance on material wealth and intimidates all he comes into contact with. Macon forbids Milkman to visit his Aunt Pilate because her eccentric ways, her unkempt appearance, and her stubborn insistence in making bootleg liquor embarrass him.

Women in Art Essay -- Arts Females Gender Artistic Painting Essays

Women in Art Throughout history many artistic works have been deemed "great" and many individuals have been labeled "masters" of the discipline. The question of who creates art and how is it to be classified as great or greater than another has commonly been addressed by scholars and historians. The last quarter of the 20th century has reexamined these questions based on the assertions that no women artists have ever created or been appreciated to the level of "greatness" that perpetually befalls their male counterparts. The position that society has institutionalized on women as unable to be anything but subordinate and unexpressive is a major contributor to this claim. Giving a brief history of gender discrimination in the art field, examining different theories in regard to why women have been excluded from art history throughout the ages, and finally, discussing the contributions and progress that women artists and historians have achieved in the past two decades, will help to better under stand the complexity and significance of women artists. The early years of the 1990's mark the 20th anniversary of the women's movement in art. The exact date of the movement can not be ascertained due to the fact that there was such an immense number of things happening for the Women's Liberation movement at that time. Nevertheless, the achievements of the 1970's women's art movement were enormous and it is one of the most influential movements of that decade. Twenty years later, the struggle for representation in the arts continues. In 1990, a U.S. study was conducted on Gender Discrimination in the Artfield. The results are as follows: 50.7% of all visual artists are female and women hold 53.1% of the degrees in art,... ...Feminist Art. Harry N. Abrams, Inc, 1994. Chadwick, Whitney. Women, Art, and Society (revised edition). Thames and Hudson Inc., 1996. Freud, Sigmund. "Femininity." Feminist Frameworks. Ed. Jaggar and Rothenberd. McGraw-Hill, 1978. 91-98. Morse, Marcia. "Feminist Aesthetics and the Spectrum of Gender." Philosophy East & West 42(April 1992) 287-289. Nochlin, Linda. "Why Have There Been No Great Women Artists?" (1971). In Women, Art, and Power, and Other Essays. Harper & Row, 1988. Portwood, Pamela. "Feminist Views; Schapiro helps female artists shed their cloaks of anonymity." The Arizona Daily Star. 19 Feb, 1999. Starlight 6E. Strawter, Lisa Marie. "Facts About Women in the Arts: Women Artists Archive" [Online] Available. http://libweb.sonoma.edu/special/waa/, (accessed April 19, 1999).

Sunday, August 18, 2019

Communism vs Capitalism Essay -- Communism Essays

Capitalism vs. Communism   Ã‚  Ã‚  Ã‚  Ã‚  Throughout history, there have been many systems developed in order to have a better society. Two of the most analyzed, and debated systems that have tired to change an economy for the best are communism, and capitalism. Communism, and capitalism have been compared on many levels, such as why they will or will not work, and which one works better. Throughout this essay I will concentrate on the differences, and similarities of how each operates, along with the benefits, and problems that each of them produces.   Ã‚  Ã‚  Ã‚  Ã‚  Both of these economic systems theories came about around the same time, in the late 17th to mid18th centuries. One of the main contributor for capitalism was Adam Smith, writing The Wealth of a Nation in 1776, and Karl Marx for communism publishing the Communist Manifesto in 1848. These both were looked as a manual or guide for achieving such advancements. Communism called for the people to not be selfish and work for the benefits of the community rather for their well being. It asks them to see that what benefits the whole, benefits themselves. Capitalism on the other hand is focused on working for individual growth, and personal ownership to provide wealth for one’s self. Communism plans to have a higher power or government control the economy to create a better way of living, by which all goods are equally distributed. As capitalism wants the government to not play a big role i...

Saturday, August 17, 2019

French Impressionism and Post Impressionism in the late

French Impressionism and Post Impressionism in the late 19th C. Ornery Before the emergence of Impressionism we can see a major political and social transition in central Europe which has demonstrable artistic and literary consequences. The major aspects of this change include: The ICC industrial expansion which took away opportunities of individual farming and craft practice and replaced them with paid labor in factories. Governments across Europe are exploring constitutional formulas that attempt to balance the polarities of social right and material progress.Religious institutions are trying to absorb new scientific knowledge and social theory against the fabric of ancient scriptures. In France specifically we see the emergence of political instability with various Governments and various forms of government rising and succeeding another between the absolute monarchy that ends with Louis the XVI in 1789 and Napoleons expansionist empire building which begins in 1851 with a coup d'  ©tat and comes to a close in 1870.Amongst these turbulent years we see political outcomes that range from â€Å"reign of terror†, constitutional monarchy, a republic, a royal serration and a socialist commune as well as the Napoleonic empire. During this turbulent social and political era we also have Marx and Angels issuing the communist manifesto in 1848 and Darning's revolutionary publication † Origin of the species† in 1859. Painters have now access to synthetic chemical pigments developed by modern science which replace the old-fashioned organic pigments.The new pigments often have greater luminosity and brilliance. Lithography makes possible low-cost reproductions which allows artists to reach a new public with prints of their work. The same technology also brings about the newspaper and the low-cost novel. In every case, individual ideas can now be â€Å"broadcast† and disseminated amongst a more diverse audience than previously. Aestheticism also can be printed and distributed widely. The previous ties between knowledge (as apart from education) and class-structure are being stretched much further.Painters and poets who had not long before escaped reality as such with flights to the exotic and romantic dreamless that typify the Neo-classic and Romantic styles and periods, are returning to the here and now. Balzac and Dickens are writing social critique, Dandier and Courier paint the social underdog in a style that creates social impact because of it's convincing realist treatment and the genre of subject-matter. We can see painters slowly turning towards the great cities for inspiration and subject- matter and a dominance of the artificial over the natural.The growing need in this new social climate for artists to achieve immediacy of expression mean that we see them going outdoors to paint, using smaller canvasses out of necessity and speeding up the process of recording and depiction. The impressionist style of painting i s characterized chiefly by concentration on the general impression produced by a scene or object and the use of unmixed primary colors and small strokes to simulate actual reflected light.Impressionism, (French â€Å"Impressionism†), a major movement, first in painting and later in music, that developed chiefly in France during the late 19th and early 20th centuries. Impressionist painting comprises the work produced between about 1867 and 1886 by a group of artists who shared a set of related approaches and techniques. The most conspicuous characteristic of Impressionism was an attempt to accurately and objectively record visual reality in terms of transient effects of light and color.The principal Impressionist painters were: Claude Monet Pierre Augusta Renoir Camille Pissarro Alfred Sisley Berth Morison Armband Glutamine and FRR ©d ©rich Bacilli who worked together, influenced each other, and exhibited together and independently. Edgar Degas and Paul C ©Zane also pai nted in an Impressionist style for a time in the early sass. The established painter ?dotard Meant, whose work in the sass greatly influenced Monet and others of the group, himself adopted the Impressionist approach about 1873.The word ‘ ‘impressionist† was printed for the first time in the Charier on the 15 April 1874 by Louis Leroy(deed), after Claude Motet's landscape entitled Impressions: sole eleven [Impressions]. This word was used to call Exposition des Impressionist an exhibit held in the salons of the photographer Nadir and organized by the â€Å"Socio ©t © anemone des painters, sculptures et gravers† ‘Anonymous society of painters, sculptors and engravers†], composed of Pissarro, Monet, Sisley, Degas, Renoir, C ©Zane, Glutamine and Berth Morison.The popular press, predictably (the more things change†¦ Had a field day making fun of the impressionists. For example, Louis Leroy who wrote as the art-critic for the El Charier repo rted on April 25th that his companion at the opening, a noted academic (identity not disclosed) had made the following sarcastic remark: â€Å"Impressionism- I was certain of it. I was Just telling yeses that, since I was impressed, there had to be some impression in it†¦ And what freedom, what ease of workmanship!Wallpaper in it's embryonic state is more finished than that seascape† Edmond Tyranny (La Novel Painter, The new painting, 1876) on the other hand eve high praise to the Impressionists: they have†¦ Succeeded in breaking down sunlight into rays, it's elements, and to reconstitute it's unity by meaner of the general harmony of spectrum colors which they spread on their canvasses†¦. The most learned physicist could find nothing to criticize in their analysis of light.The Founders The founders of this society were animated by the will to break with the official art. The official theory that the color should be dropped pure on the canvas instead of getting mixed on the palette will only be respected by a few of them and only for a people of years. In fact, the Impressionism is a lot more a state of the mind than a technique; thus artists other than painters have also been qualified of impressionists. Many of these painters ignore the law of simultaneous contrast as established by Chevrolet in 1823.The expressions ‘ ‘independents† or ‘ ‘open air painters† may be more appropriate than ‘ ‘impressionists† to qualify those artists continuing a tradition inherited from Eugene Delicacies, who thought that the drawing and colors were a whole, and English landscape painters, Constable, Bonito and especially William Turner, hose first law was the observation of nature, as for landscape painters working in Barbarian and in the Fontainebleau forest.Eugene Boudoir, Satanists L ©pine and the Dutch Jointing were among the forerunners of the movement. In 1858, Eugene Boudoir met in Honolulu Cla ude Monet, aged about 1 5 years. He brought him to the seashore, gave him colors untaught him how to observe the changing lights on the Seine estuary. In those years, Boudoir is still the minor painter of the Pardon De Saints-Anne-la-papal, but is on the process of getting installed on the Normandy coast to paint the beaches of Trouble and El Have.On the C ¶et De Gar ¤CE, in the Saint-Simi ©on farm, he attracts many painters including Courier, Bacilli, Monet, Sisley. The last three will meet in Paris in the free Glare studio, and in 1863 they will discover a porcelain painter, Augusta Renoir. At the same time, other artists wanted to bypass the limitations attached to the Cole des Beaux-Arts and were working aqua des Roof ©verse in the Swiss Academy; the eldest, from the Danish West Indies, was Camille Pissarro; the other two were Paul C ©Zane and Armband Glutamine.El ‘ ‘Salon des Refuse ©s† The French people were highly impressed by the works of Detour ed Meant, and came outraged when they learned that he was refused for the 1863 Salon. The indignation was so high among the artistic population that Napoleon Ill allowed the opening off ‘ ‘Salon des Refuse ©s†, where Meant, Pissarro, Jointing, Calls, Centuries, Faint-Layout, etc. Showed their works. El D ©Jejune sure leered provoked a great enthusiasm among the young painters, who saw represented in Manatee's painting many of their concerns.They started meeting around him in the cafe © Grubbers, 9, avenue De Chicly, and thus creating l' ©Cole des Buttonholes. The 1866 Salon accepted the works of some of them: Degas, Bacilli, Berth Morison, Sisley; Monet exposed the portrait of Camille, Pissarro, less Boards De la Manner en hive; Meant, C ©Zane, Renoir were refused, and Mile Cola wrote in elopement a diatribe which made him the official upholder of those newcomers bearing an more revolutionary attitude in the conception than in the still traditional painti ng.The main distinction lies in the attraction for color and the liking of light; but Berth Morison remained faithful to Manatee's teaching; Degas was mixed between his admiration of Ingress and the Italian Renaissance painters; C ©Zane attempted to fairer du Poisson sure nature†; Claude Monet himself, in la Terraces AU Have and less Femmes AU Jarring (1866, Louvre, sales du Jew De Puma), is far from announcing his future audacity. The 1870 war The 1870 war split up those beginners.FRR ©d ©rich Bacilli was killed in Bean-la- Rolando; Renoir was embroiled; Degas volunteered; C ©Zane retired in Provence; Pissarro, Monet and Sisley moved to London, where they met Paul Duran-Rule. This stay in London is a major step in the evolution of Impressionism, both because these young artists met there their first merchant, and because they discovered Turner's nettings, whose light analysis will mark them. Back in Paris, most of these painters went to work in Argentines (Monet, Reno ir), Chateau (Renoir), Marry (Sisley), or on the banks of the river Jose (Pissarro, Glutamine, C ©Zane).Detoured Meant painted the Seine with Claude Monet and, under his influence, adopted the open air work. The opinion of the public Duran-Rule was unable to sell the works of the future impressionists and had to cease buying in 1873; thus, next year, they decided to expose in Nadir's (1 5 April-1 5 May 1874), where they displayed the works that the Salon had refused. They invited with no success Meant, but L ©pine, Boudoir, Breadcrumbs the engraver, Starts the sculptor, and the painters Calls, De Nits, Henry Route, etc.Joined them. Many artists became then conscious of the public and critics incomprehension, but the solidarity didn't last long. C ©Zane didn't participate in the group second exhibit, galleria Duran-Rule, rue El Paltrier, in 1876, which hold 24 Degas and works from Berth Morison, Claude Monet, Augusta Renoir, Pissarro, Sisley and FRR ©d ©rich Bacilli. They m et some upholders, such as Tyranny, Armband Silver, Philippe Burry, Mile Bal ©mood, Georges Rive ©re, soon tit The ©adore Turret.The disappearance of C ©Zane, Renoir, Sisley, Berth Morison in the 1879 exhibit proved that the group was splitting apart. Renoir preferred to send to the official Salon Mme Carpenters et sees infants and the Portrait of Jeanne Samara; yet only few people admired his artworks and of those of his friends, and the artilleries was uneasy, if not miserable. Degas tried, with Pissarro, to maintain the unity of the group, but his attempt failed since Monet, Sisley and Renoir were missing for the fifth exhibit, opened in April 1880; however, artworks room Gauguin appeared there for the first time.In 1881, some of the Impressionists went back to Nadir's: Pissarro, Degas, Glutamine, Berth Morison. The ‘ ‘seventh exhibition of independent artists† was the become the ‘Salon des mind ©pendants† two years later. Only Monet and Si sley continued to Journey deeper into the analysis of the changing moods of light and their effects on objects. Degas, Renoir and C ©Zane headed towards other painterly pursuits, whereas Pissarro was interested by the researches of Paul Gauguin, Georges Serrate, Paul Signal.At this stage, Impressionists were coming biblically appreciated, but their situation was still harsh; the Salon continued to refuse their paintings, and in 1894, 25 out of 65 artworks donated by Collaborate to the Luxembourg museum were rejected. Yet, when Camille Pissarro, the Impressionist patriarch, died in 1903, everybody agreed that this movement was the main Sixth century artistic revolution, and that all its members were among the finest painters.The influence of the Impressionists was great out of France, especially in Germany, with Liebermann, Corinth, and in Belgium. The first of the eight Impressionist exhibitions was held in 1874: Included were the following artists (and others) 1840-1926 Claude Mo net (lived 86 years) 1831-1903 Camille Pissarro (lived arrears) 1841-1919 Pierre August Renoir (lived 78 years) 1834-1917 Edgar Degas (lived 83 years) 1834-1903 James A.Mac Neil Whistler (lived 69 years) 1864-1901 Henry Marie Raymond De Toulouse-Ululate (lived 37 years) 1839-1899 Alfred Sisley (lived 60 years) 1839-1906 Paul C ©cane (lived 67 years) Glutamine 1824- 1898 Egg ©en Boudoir (lived 74 years) 1841-1895 Berth Morison * (lived 56 years) * Berth Morison was the only female painter to participate in the 1874 exhibition (as ell as , 1882 and 1886 exhibitions). She was Joined later by another female painter, the American Mary Cast (1844-1926) who exhibited in the and 1886 exhibitions.Note: Artists listed in green can be said to have only had a dubious relationship to the Impressionist ideal during the sass's (especially C ©Zane) The other seven Expressionist exhibitions were held in and 1886 Less closely connected with the Impressionists were Henry De Toulouse-Ululate and Dillon Redone. Concerned with perceptive portraiture and decorative effect, Toulouse-Ululate used the vivid contrasting colors of Impressionism in flat areas enclosed by a distinct, sinuous outline.Redo's still-life floras were somewhat Impressionistic, but his other works are more linear and Symbolist. In general, Postmodernists led away from a naturalistic approach and toward the two major movements of early 20th-century art that superseded it: Cubism and Fauvism, which sought to evoke emotion through color and line. Post-impressionism Post-impressionism is a movement of major importance in Western painting. As a movement it represents both, an extension of Impressionism, and a rejection of that style's inherent limitations.The term Post-impressionism was coined by the English art critic Roger Fry for the work of such late 19th-century painters as Paul C ©Zane, Georges Serrate, Paul Gauguin, Vincent van Gogh, Henry De Toulouse-Ululate, and others. All of these painters except va n Gogh were French, and most of them began as Impressionists; each of them abandoned the style, however, to form his own highly personal art. Impressionism was based, in its strictest sense, on the objective recording of nature in terms of the fugitive effects of color and light.The Vivisectionists rejected his limited aim in favor of more ambitious expression, admitting their debt, however, to the pure, brilliant colors of Impressionism, its freedom from traditional subject matter, and its technique of defining form with short brushstrokes of broken color. The work of these painters formed a basis for several contemporary trends and for modern art in general. After a phase of uneasy dissension among the Impressionists, Paul C ©Zane withdrew from the movement in 1878 in order â€Å"to make of Impressionism something solid and durable like the art of the museums. In contrast to the passing show evicted by the Impressionists, his approach imbued landscape and still life with a monu mental permanence and coherence. He abandoned the Impressionists' virtuoso depiction of evanescent light effects in his preoccupation with the underlying structures of natural forms and the problem of unifying surface patterns with spatial depth. His art was the major inspiration for Cubism, which was concerned primarily with depicting the structure of objects.In 1884, at the Salon des Mind ©pendants in Paris, Georges Serrate revealed an intention similar to C ©cane's with paintings that wowed more attention to composition than those of the Impressionists and that delved into the science of color. Taking as a point of departure the Impressionist practice of using broken color to suggest shimmering light, he sought to achieve luminosity through optical formulas, placing side by side tiny bits of contrasting color chosen to blend from a distance into a dominant color.This extremely theoretical technique, called Pointillism, was adopted by a number of contemporary painters and form ed the basis of the style of painting known as Neo-lonesomeness The Vivisectionists often exhibited together but, unlike the Impressionists who were a close-knit, convivial group, they painted mainly alone. C ©Zane painted in isolation at Xix-en-Provence in southern France; his solitude was matched by that of Gauguin, who in 1891 took up residence in Tahiti, and of Van Gogh, who painted in the countryside at Arles.Both Gauguin and van Gogh rejected the indifferent objectivity of Impressionism in favor of a more personal, spiritual expression. After exhibiting with the Impressionists in 1886, Gauguin renounced â€Å"the abominable error of naturalism. With the young painter ?mile Bernard, he led a self-conscious return to the aesthetic of primitive art, for which he believed imagination and ideas were the primary inspiration and the representation of nature merely a vehicle for their expression.Copying the pure, flat color, heavy outline, and decorative quality of medieval stained glass and manuscript illumination, the two artists explored the expressive potential of pure color and line, Gauguin especially using exotic and sensuous color harmonies to poetically depict the Athenians he eventually lived among. Arriving in Paris in 1886, the Dutch painter Vincent van Gogh quickly adapted Impressionist techniques and color to express his acutely felt emotions.