Monday, September 30, 2019

Greenpeace and Politics Essay

Greenpeace is an organization which often collides with governments in countries all over the world in its attempt to stop things like global warming, deforestation, overfishing and more. Greenpeace tries to reach their goals by direct action and lobbying. This is the part where they often collide with the governments. My questions about this topic are: -What conflicts does Greenpeace have (or did they have) with the government and corporations in the Netherlands and governments and corporations of other countries in the world? -How exactly does Greenpeace influence governments and corporations? -What influence does Greenpeace have on governments and corporations? I want to answer these questions by first telling a bit more about Greenpeace. Then I will tell about some conflicts which Greenpeace have had and still have with Dutch government and corporations. I am also going to tell how Greenpeace acted in those conflicts and if they reached their goal(s). by telling this, I will have answered the second and third question. I will also tell about some conflicts Greenpeace has with other governments and corporations and how Greenpeace acted there. Greenpeace Greenpeace is a non-governmental environmental organization. It has offices in more than forty countries all over the world. Its international coordinating body is in Amsterdam, the Netherlands. Greenpeace states its goal is to â€Å"ensure the ability of the Earth to nurture life in all its diversity.’’ It focuses on worldwide issues such as global warming, deforestation, overfishing, commercial whaling and anti-nuclear issues. Greenpeace is known for its direct actions and lobbying to stop or delay things but also uses research and innovation to achieve its goals. Greenpeace does not accept money from governments, political parties, or companies. It relies on more than 2.9 million individual supporters and foundation grants. Greenpeace is a founding member of the INGO Accountability Charter; an international non-governmental organization that intends to promote accountability and transparency of non-governmental organizations. Greenpeace has been described as the most visible environmental organization in the world. It has raised environmental issues to public knowledge, and influenced both the private and the public sector. Greenpeace has also been a source of controversy; its motives and methods have received criticism and the organization’s direct actions have led to legal actions against Greenpeace activists. Greenpeace and conflicts with the Dutch government and Dutch corporations – In August 2008, Greenpeace threatens the negotiations of the Dutch government and civil society organizations concerning the designation of protected nature reserves in the North Sea. Greenpeace threw large rocks in the Sylter Buitenrif, near the German-Denmark border. Each of the rocks are about two to three tons. Because of the rocks, fishing is impossible in that area because the fishing nets might get hooked on the rocks, which will be dangerous for the boats. The reason why Greenpeace did this was because the Dutch government was too slow with the designation of protected nature reserves. In 1995, all EU countries promised they would take protective measures known as ‘Natura 2000’, but all North Sea countries, including the Netherlands, took too long to do this and were behind schedule. The Dutch minister of agriculture, minister Verburg, agreed to designate four protected nature areas. – Minister Verhagen declared he wanted a second nuclear power plant (NNP) to be built in the Netherlands, one much bigger than the NNP we already have in Borssele. He had already found a solution for the nuclear waste: put it under the ground. According to minister Verhagen, two soil types are suitable for storing nuclear waste, salt domes in the northern Netherlands and the Boom clay layer which extends over the Netherlands and a part of Belgium. And since a few months, Dutch Greenpeace activists have been protesting against nuclear energy in the Netherlands. They have been trying to persuade the cities to say ‘no’ to nuclear waste storages underneath their city. They did this in several ways, they for example placed warning signs under more than 64 signposts of cities in middle and south Netherlands. Greenpeace activists also visited cities and spoke to councilors and they dumped ‘nuclear waste’ in several places. By now, more than 75 cities said ‘no’ to nuclear waste and the energy company Delta declared in January to have put the plans for a second NPP on hold. They declared it was not feasible anymore to built a second NPP. However, minister Verhagen still wants a second NPP, though he does not seen to get much support anymore†¦ – In December 2011, Greenpeace campaigned in the harbor of IJmuiden against harmful giant ships which was about to set sail to the waters West-Africa. Because of overfishing in the European seas, ships like these now have to go to other seas because they cannot catch enough fish in European seas anymore. The ships against which Greenpeace was campaigning was part of the Pelagic Freezer-Trawler Association (PFA). This is a company which is established in the Netherlands and is a partnership of several Dutch fisheries. PFA got more than 142 million euro subsidy from 2006 to 2011 on. the last five years more than 142 million Euros in European subsidies. Subsidies which are paid from tax money paid by European inhabitants. Greenpeace wrote the amount of money which one of the largest fishing ships in the world got on the ship itself. Also, on the 31st of January 2012, Greenpeace anchored one of Europe’s largest ships to the dock with steel cables to prevent it from setting sail to fishing waters. The Second Chamber will debate about overcapacity on the 15th of February in the Algemeen Overleg. Greenpeace and conflicts with other governments and corporations all over the world Finland, 1995 In June 1955, Greenpeace took a trunk from a tree and put it on display at exhibitions in Austria and Germany. They declared that the trunk was from a tree from a ancient forest in a national park which was supposed to be protected. Metsà ¤hallitus is a state-owned enterprise in Finland has the tasks of managing most of the protected areas of Finland and to supply wood to the country’s forest industry. They accused Greenpeace of theft and said the trunk was from a normal tree that had been destroyed during a storm. Greenpeace replied that the tree had fallen down because the forest around it had been clear-cut. With this action, Greenpeace wanted to highlight the fate of old forests, and they did, because the incident received publicity in some large Finish newspapers. Great Britain, 2008 On the 11th of September, 2008, six Greenpeace activists were acquitted in a case started by energy company E.ON. The activists were protesting against the emission of COâ‚‚ and the construction of a new coal plant in Kent. They climbed the chimney of an existing plant and wanted to write the text ‘Gordon, bin it’ on the chimney. However, they were stopped after they had written ‘Gordon.’ E.ON wanted the activists to pay the damage costs of  £ 35,000 but the judge decided that the damage to the environment done by the coal plant was many times bigger than the activists’ graffiti. France, 1985 The first ship of Greenpeace was the Rainbow Warrior, a 40 meter long former fishing trawler. From 1978 to 1985 on, it was used as a ship to prevent whale hunting, ocean-dumping of toxic and radioactive waste, seal hunting and nuclear testing. In 1985, the Rainbow Warrior was to lead a fleet of protest vessels into the waters surrounding a French nuclear testing site. The French government secretly bombed the ship in the Auckland harbor, New Zealand. The bombings killed a Dutch freelance photographer. At first, the French government denied they had bombed the ship, but in the end they were exposed by the New Zealand police. They agreed to pay New Zealand a compensation of 13 million New Zealand Dollar. They also paid 2.3 million French francs to the family of the photographer. Liberia, Greece, 2002 In 2002, Greek, German and Swiss activists boarded the vessel MV Zini in the port of Kalamaki. The vessel was there to unload logs which it had picked up at the Liberian port of Buchanan. That port is largely controlled by the logging company Oriental Timber Company (OTC). OTC is run by a close business associate of the President of Liberia, who has granted the logging rights to at least one third of Liberia ´s remaining 4.8 million hectares of ancient forest to the company. Liberia’s forests contain enormous biodiversity, but its timber industry is fuelling both environmental destruction and human rights abuses. The Greenpeace activists dressed like animals, the same animals that are being wiped out around the world through the destruction of ancient forests. In reaction to the Greenpeace action, the Greek ministry of environment joined other European nations in committing itself to keep a very clear and strong position for the protection and sustainable management of the last ancient forests of the world and they made promises to take action against forest destruction. Japan, 2008 In June 2008, the Japanese police arrested two Greenpeace activists for stealing a box which was supposed to be full of cardboard, but which was in fact filled with whale meat. The two activists presented this box as evidence to the Public Prosecutor in Tokyo of wide-scale corruption at the heart of the government-sponsored whaling operation in the Southern Ocean Whale Sanctuary. There has been an investigation, but according to the Tokyo District Prosecutor Office, it has been unable to find evidence of the embezzlement. The investigation into crew and whaling officials has stopped. After their arrest, the two Greenpeace activists, known as ‘the Tokyo Two’, have been held without charge for some time. In that time, more than 170.000 people have done a cyber action, and a quarter million people sent a mail to the Japanese government to demand their release. The Tokyo Two have been handed a one year suspended prison sentence last year September, despite of the world wide protests against the unjust sentence. Although they are now in prison, they did manage to put whaling successfully on trial, both in court, and in Japan’s national media. Switzerland, 2010, Other European countries In 2010, the Swiss Parliament extended its ban on the cultivation of genetically engineered (GE) plants for three more years. Switzerland will now stay free of GE plants until at least 2013. The original moratorium was backed by Swiss voters in a referendum 5 years ago. Supporters of the ban included farmers, who were concerned about the impacts of GE crops on organic produce as GE crops pose unpredictable risks to human and animal health. The Swiss Greenpeace office has been supporting these farmers and Swiss consumers to ensure the country remains GE-free. The EU Commission President Barroso is trying to force GE crops into the EU and to bypass standard authorisation procedures. However, this approval has met many criticism and opposition. The governments of Greece, Austria, Luxembourg, Italy, Hungary and France have all publicly announced that they will not allow GE potato crops grown in their countries. Six other EU countries, Austria, France, Germany, Greece, Hungary and Luxembourg have bans on GE maize cultivation. I hoped I was able to give an idea of the conflicts Greenpeace gets into with governments and corporations all over the world. Of course, what I told is only a fraction of the actions Greenpeace does and the conflicts and problems they walk into when campaigning but had I told about them all, or even half of them, I could have continued for a very long time. And of course, Greenpeace does not always get into conflict with governments or big corporations, sometimes they only get into conflict with small companies or a small group of people.

Sunday, September 29, 2019

Dialysis Patient Citizens Health Promotion Pamphlet Essay

Kidney failure is a life altering condition that significantly impacts the way an individual lives. According to â€Å"National Kidney Center† (2014), â€Å"Chronic Kidney Disease (CKD) affects 26 million Americans. Early detection can help to prevent progression of the disease – which ultimately can lead to kidney failure and death† (para. 1). If an individual is diagnosed with end stage renal disease (ESRD), the person must receive hemodialysis treatments to sustain life, or they will die. The Dialysis Patient Citizens (DPC) is a non-profit organization composed of dialysis and pre-dialysis patients. This 30,000 plus dialysis community advocates for the dialysis population to improve care, education, and support for people suffering from kidney disease (Dialysis Patient Citizens). The following material will critique the DPC’s pamphlet for layout, quality, clarity, literacy, and usefulness. Review of cultural sensitivity and self-care management in the p amphlet information will also occur. Layout appeal Layout appeal is crucial for a pamphlet as the layout appeal is what grabs the interest of an individual and entices the individual to pick up a brochure and read through it. The layout of the DPC pamphlet is neat, colorful, and clear. Each sub-heading is bold identifying the topic of information in the section. This booklet also provides pictures of individuals of various ethnicities, age, and sex signifying that kidney failure can affect anyone. A picture of the United States flag is also on the pamphlet. Content and quality Content and the quality of the pamphlet were well thought out and presented. The presentation for the content of the information shows organization and  flows throughout the pamphlet. Each sub-topic leads into the other and flows smoothly with culmination of the material formed in a summary and conclusion in the last paragraph. Presentation of the quality of material is neat, organized, and easy to follow. The booklet provides valuable, but concise information that is important to maintain the reader’s interest. The pamphlet has a limited amount of space to engage the reader and spark interest in the reader to investigate the organization further. Through a quality presentation, the DPC pamphlet captures the reader to research this organization more. Usefulness/Clarity The information found in this pamphlet is relevant and useful for dialysis patients. The DPC pamphlet speaks of empowering dialysis and pre-dialysis patients in managing their care and to have access to resources that will help the patient manage their care better. The clarity of the information provides the individual the opportunity to read quickly through and understand the information. Some of the relevant information are repeated in the pamphlet that provides the individual the chance to absorb and more fully understand the information. Reading and Literacy Level Prior to creating a pamphlet, or any literature emphasis should be on the intended audience. The Huffington post states that â€Å"According to the National Assessment of Adult Literacy (completed most recently in 2003, and before that, in 1992), 14 percent of adult Americans demonstrated a â€Å"below basic† literacy level in 2003, and 29 percent exhibited a â€Å"basic† reading level (para. 3). Establishing the audience prior to writing will allow the writer to communicate the information at the reading level of the intended audience. â€Å"The difference among audiences make it necessary to avoid the one-size fits-all mindset when developing effective health communication material† (CDC-Center for Disease Prevention: Health and Human Services, 2010, slide 3). The writing in the pamphlet was easy to read and understand. Most of the information was basic and did not contain any uncommonly used words. The words in the pamphlet are words that people use when communicating with each other on a regular basis. An example of a sentence according to â€Å"Improving our Lives through Empowerment (n.d.) â€Å"We provide information about dialysis care, help strengthen the partnership  between patients and caregivers, tell our lawmakers about the issues that matter to us and provide a strong community for our members† (Dialysis Patient Citizens). Cultural sensitivity and competence As mentioned earlier the brochure is culturally diverse as the information in the pamphlet does not suggest a specific culture. Pictures of the people contained in the pamphlet are of different ethnicity, race, age, and sex. This pamphlet speaks to the reader in a non-verbal way because the reader can identify with one of the individuals advertising in the pamphlet. The brochure announces that this organization is a â€Å"patient organization† therefore membership is restricted to dialysis patients, pre-dialysis patients, and families of dialysis patients (Dialysis Patient Citizens). The reason for this is that this allows the organization to maintain focus on dialysis interests and issues (Dialysis Patient Citizens). The Board of Directors for DPC are dialysis patients or former dialysis patients that have been the recipient of a transplant (Dialysis Patient Citizens). Helpful hints or tips for self-care management Information regarding the need for DPC and what joining this community will bring to the patient is evident. This community lists the important points of what the person will gain if they join. One of the recognizable points in this pamphlet is the declaration that there are educational tools available to help the members manage their health as efficiently as possible (Dialysis Patient Citizens). Also, the word advocate appears many times throughout the literature suggesting that this community wants to stress to the reader the importance of being your own advocate and also coming together to be one strong voice for this community. Publisher Distribution of the pamphlet is by the Dialysis Patient Citizens (DPC). There is no direct mention of the publisher. There is an address, phone number, email, and website address provided for this community. Conclusion The Dialysis Patient Citizens community is a community that wishes to expand its membership. By advertising and distributing this brochure, the community announces to the public that through their organization patients can improve  their education, advocacy, and voice within the dialysis population. This pamphlet is appealing to people that see it because of the layout, content, ease in reading, and concise presentation of material. This pamphlet does not discriminate against any race, ethnicity, sex, or age and, as a result, is culturally competent. Through the pamphlets ease in understanding the literature, dialysis patients are sure to comprehend the information and seek further into the opportunity presented before them. Reference Center for Disease Prevention (CDC): Health and Human Services. (2010). Simply Put: A guide for creating easy-to-understand materials [PowerPoint slides]. Retrieved from http://www.cdc.gov/healthliteracy/pdf/Simply_Put.pdf. Dialysis Patient Citizens (DPC). (n.d.). Improving our Lives through Empowerment. Huffington Post (2013). Retrieved from http://www.huffingtonpost.com/2013/09/06/illiteracy-rate_n_3880355.html National Kidney Center (2014). http://www.nationalkidneycenter.org/chronic-kidney- disease/facts/

Saturday, September 28, 2019

Reflection on Personal Writing Skills Essay Example | Topics and Well Written Essays - 750 words

Reflection on Personal Writing Skills - Essay Example Writing a coherent and informative essay, as I have learned requires accurate and comprehensive planning. I have therefore learned that note making makes it easier to align ideas and hence plan an essay in a way that the points will flow to bring out a coherent piece of writing. Originally, my note making skills were rather weak. I made mistakes in the beginning and could not create a comprehensible essay even when I had made notes. Writing, therefore, seems to me to be an art that can only be mastered through practice. When it comes to writing, I recall that at first, I had a problem developing anything from the notes and points that I had written down. This was originally due to numerous grammatical and lexical mistakes that made my writing rather incomprehensible. The first assignment comprised many of these mistakes and using the feedback obtained from the tutor, I was able to improve on this and make my writing better. In my second assignment, the tutor apparently recognized my improved writing skills and positively commented on that. I was happy to realize that my efforts were recognized. I later conferred with a few of my friends and realized that I could also get some positive feedback from them. For instance, from one of them, I learned how to arrange ideas into a coherent piece that was better than my previous papers. What mattered to me during all this time was that I was improving my writing skills and was getting more confident with myself every time.

Friday, September 27, 2019

Julius Caesar Research Paper Example | Topics and Well Written Essays - 500 words

Julius Caesar - Research Paper Example Born in 100 BC in Rome, a time where elite families had made a trend of engraving their family titles so that they would be considered as elites, Julius Caesar would mark a turning point in the history of the Roman Empire. It was the engraving of such titles into families that allowed young boys to grace business meetings, attend debates, and even eat and dine with senators. The son of Caius Julius Caesar and Aurelia became involved in politics after participating in countless wars. He would later form alliances that aided him in attaining a high powered seat in the Roman Empire, which would allow him to establish an imperial system across the many regions he had conquered (Bladen 57). He enrolled in the army as a way of evading the then dictator’s wrath after he married a girl from a noble family. After the death of the dictator, he moved back to Rome, but chose to study philosophy. Afterwards, he led a private army to fight the king of Pontus, which would see his status further elevated and see him work with Pompey. Pompey was a former lieutenant in the former dictator’s regime. He continued to rise in ranks and served as governor of a province in Spain, and with close ties to Pompey; he was given a powerful position in government to act as consul. Caesar’s first wife, Cornelia, died after he was elected quaestor (Freeman 79). After his wife’s demise, he encountered and fell in love with Pompeia, a distant relative of Pompey, which helped strengthen his relationship with the great general. Pompey would later marry Caesar’s daughter, but after her death, their relationship went sour. Caesar would then go on to marry Calpurnia during his travels and conquests over Gaul. During his tenure in political office, Caesar sought to change the lives of the Roman people. He improved on the calendar and established colonies so that poor people could improve their way of living. In Caesar’s later years, he created resentment from the Roman

Thursday, September 26, 2019

Russia's Economy Essay Example | Topics and Well Written Essays - 500 words

Russia's Economy - Essay Example Firstly, with regards to the strength that exist within the Russian Federation, it can categorically be said that the natural resource markets for oil, natural gas, and mineral extraction have provided the Russian Federation with a runaway level of economic growth during a period in which much of the remainder of the world has been mired in recession. As a direct result of the fact that the Russian Federation has untold billions of barrels of oil in on reservoirs, the potential for growth within the near future is profound. Moreover, surveys into overall levels of natural gas resources within the Russian Federation indicate that this country has the largest known reserves of natural gas anywhere in the rest of the world.1 Copious supplies of coal, iron, gold, silver, diamonds, and other desired natural resources are also found in abundance in Russia’s the vast eastern wilderness. Finally, another core strength/bright spot of the Russian economy is concentric upon the fact that the Russian Federation exhibit a very high level of educational aptitude and higher learning; doubtless the result of decades of Soviet education that adequately equipped individuals with profound levels of scientific and engineering knowledge. However, apart from the bright spots and potentials for development that had previously been elaborated upon, perhaps the greatest drawback that exists currently within the Russian Federation is contingent upon the overall level of corruption within the country. At nearly almost every level, corruption is a stifling influence which creates unknown prices and incalculable expense for companies that choose to operate within its borders. Such a constraint to foreign direct investment has significantly reduces the overall number of firms that are actively interested in developing their companies further within the

Wednesday, September 25, 2019

Different Points of View on the Global Warming Essay

Different Points of View on the Global Warming - Essay Example It will be crucial to building a resonance scientific understanding of the systems through which climate change discloses, and, on the foundation of this information, to alleviate its force as far as possible while adjusting to its effects (Schreuder, 2009, p. 13). 1. The Facts: According to the 4th assessment report, there is proof that Africa is warming quicker than the global average, and it is likely to persist. It is projected that by 2100, temperature changes will drop in ranges of about 1.4 to almost 5.8?C raise in mean surface temperature contrasted to 1900, and around 10 to 90cm increase in mean sea level. This warming is most over the heart of semi-arid boundaries of the Sahara also the central southern Africa. Before the atmospheric amount of carbon dioxide equivalent has multiplied by two, the worlds mean precipitation is anticipated to be around 1-5 % more than 1900. Under the least warming situation, equatorial east Africa will have rainfall increase by 5-20 % during De cember, January as well as February and diminish by 5-10 % during June, July also August (Schreuder, 2009, p.39). Agricultural production with foodstuff security in most areas of Africa is likely to be strictly compromised by climate change, as well as climate variability. Climate change will deteriorate the water stress presently faced by some nations; while some of those nations, presently not at risk of water stress, will be affected. Changes in an array of ecosystems are by now being noticed faster than expected, mainly in the Southern African environments. Climate change and unpredictability could also lead to the flooding of low lying lands, comprising coastal settlements. Human health could also be more negatively affected by climate change with climate variability, for instance there has been a raise in the frequency of malaria in southern Africa as well as East African highlands. These unfavourable effects together with poverty, institutional frame works and Poor policy, ca use Africa to be one of the most susceptible continent to climate change as well as climate variability. It is established that the anthropogenic climate force is the chief cause of climate change. This comprises of green house gases, land surface changes and aerosols. Research has shown that while a rise in the amount of green house gases would augment global warming, a rase in atmospheric aerosols would reduce it, although alterations in the land cover could either augment or reduce the local temperature (Schneider, 2002, p.22). The increase in the GHG since industrialization in the 1900s is the main cause of the ongoing global warming. The raise has been related to a rise in the burning of fossil fuels, growing dependence on fossil fuel driven technologies, elevated population growth rates and land use results. More increase in the GHG altitudes is anticipated in the future as the developing nations are becoming further industrialized. Nevertheless, any increase in GHG increases the â€Å"green house† characteristics of the earth’s environment. These gases permit solar radiation to go through the atmosphere but hinder the reflected heat from escaping back into the apace which results to the earth’s temperature rise. Climate change is the main factor defining human advancement issues of the generation.  

Tuesday, September 24, 2019

Financial Markets Assignment Essay Example | Topics and Well Written Essays - 2000 words

Financial Markets Assignment - Essay Example He classified it into three levels based on the definition of available information: weak, semi-strong and strong forms. He further suggested three models for testing market efficiency: the Fair Game model, the Submartingale model, and the Random Walk model. The weak form of EMH attracted all the attention of empirical research in both developed and emerging markets results. This is because if evidence fails to support the weak-from of EMH, stricter forms of EMH would consequently fail (Wong and Kwong, 1984). The weak form of EMH considers a market to be efficient if information contained in past prices is already reflected in current market prices. Information from historical prices would not enable market traders to make superior returns as this information is already accounted for in current prices. The semi-strong form of EMH considers a market to be efficient only if current market prices reflect all publicly available information, such as information on interest rates, dividends announcements, quarter and annual earnings, etc. Thus market traders would not make superior returns from analysis of market information because market prices will immediately adjust to new news. If all market information is immediately reflected in market prices, even private information (inside information) and market participants could not benefit from such knowledge, the market is referred to as strong form of EMH. This assumes that the cost of inside information is zero. This assumption does not exist in reality and thus the strong form of EMH is not likely to hold. Statistical Testing of EMH: The efficient market hypothesis was tested by a number o f statistical test such as autocorrelation, runs test and variance ratio tests. Data: The data used to test for weak form EMH was collected from Yahoo Finance (2008). Historical daily prices for British Petroleum from the British Stock Market were collected 1st of January 2003 to 3rd of November, 2008. This data contains opening price, daily high, daily low, closing price, daily traded volume, and an adjusted close price. Data representing the market is represented by the FTSE 100 British index. FTSE 100 is an index of the largest 100 firms in the UK based on market capitalization. Historical daily prices for FTSE 100 were collected from 1st of January 2003 to 3rd of November, 2008 from yahoo (2008). Daily return is computed by using the following equation: Return (rt) = closing price at any day (pt) - closing price at day before (pt-1) A natural logarithmic transformation is performed on all data of BP and FTSE 100. Daily returns are computed by using the following equation: Return (rt) = closing price at any day (pt) - closing price at day before (pt-1) To generate a time series of continuously compounded returns, daily returns are computed as follows: rt = log (pt) - log (pt-1) = log (pt/pt-1) Where return at some day: rt Closing Price at day (t): pt Closing price at day

Monday, September 23, 2019

Violent Media is Good for Kids Essay Example | Topics and Well Written Essays - 1250 words

Violent Media is Good for Kids - Essay Example The author argues that Violent Media is Good for Kids. This is brought out clearly when the author begins by talking about his childhood experiences in the first paragraph. Despite the fact that he does not mention this thesis out rightly, he talks about how a violent comic book transformed him from a state of loneliness and being passive to being a conqueror of his fears. Later on in the essay, he says that such positive transformation is because of violent media and therefore parents should therefore not be quick to judge that violent media materials are necessarily a bad influence to children. The author chose to exemplify the theme of his story through a discussion of how violent media positively affects the life of kids. This keeps readers want to read more and find out the manner in which violent media is advantageous to kids. It makes the author’s story more captivating and interesting.  The thesis of the article is adequately supported. Even though there are no stati stics used in the article, the author uses examples to expand on his thought.   Gerard Jones has given a personal example of how a violent comic book turned him in to a successful writer of violent comic books and movies. He also speaks of his son who had fears of climbing a tree. In the fifth paragraph of the article, he says, â€Å"In the first grade, his friends started climbing a tree at school. However, he was afraid: of falling, of the centipedes crawling on the trunk, of sharp branches, of his friends' derision.

Sunday, September 22, 2019

Tea with the birds Essay Example for Free

Tea with the birds Essay The human being is a social creature with an essential need to socialize, but in our modern society many people feel that they are isolated and lonely in a world surrounded by people. The people of modern society are prejudice and judgmental towards the ‘unknown’ person, and we will rather observe and assume things about each other than getting to know one another. This is also the case for the main character and her neighbors in Joanne Harris novel ‘Tea with the birds’ from 2001. The narrator lives in a flat in Mortimer Street. The narrator describes Mortimer Street as being â€Å"busy without being comfortable; crowded without being friendly†.Mortimer street has a sense of coldness around it, and no-one really knows their neighbors even though they â€Å"live like birds in cages†. The coldness suits the narrator, because she enjoys the solitude, privacy and silence of her own flat. This has aroused her neighbors’ curiosity and suspicious towards her, because as she describes â€Å"I’m a completely different race from my neighbors†. Both the narrator and her neighbors consider her as an outsider, but this does not bother the narrator. Her neighbors consider her as being snobby cause of her reluctance to speak with them. Therefore her neighbors observe her and presume, she is a student nurse and she doesn’t bother to correct them. Mortimer Street is a reflection on the narrators own personality. She is very introverted and doesn’t have an interest in getting to know her neighbors. The narrator lives her lonely life, until the day when Mr. Juzo Tamaoki moves in the apartment opposite to hers. â€Å"Another foreigner said the Mortimer Street grapevine, with barely concealed disapproval†. This once again shows Mortimer Streets residents’ insecurity towards anyone different from them self. When the narrator and Mr. Tamaoki meet, his expression reminds her of a bird, she once saw in a zoo and still sees every morning, when she looks in the mirror. The bird resembles the narrator in the way that it has been bred in captivity, and the narrator has been kept in captivity in the two years she spent in a psychological hospital. The two years of solitude and silence and being hidden away from others has affected the narrator’s psychology, as she is now overwhelmed by the free and loud world and she has become introverted. The narrators` only wishes towards Mr. Tamaoki is that he will be quiet and leave her alone, and to her surprise he is the most silent neighbor, she ever had and he keeps to himself. Mr. Tamaoki begins to awaken her curiosity and interest, as she realizes that he is as much a foreigner in Mortimer Street as herself. He always nods and smiles, when he meets the narrator. This is the only kind of social contact, they have with each other. Mr. Tamaoki seems as the perfect neighbor, until he starts receiving a delivery of groceries at five-thirty in morning, which wakes the narrator because she suffers from insomnia. The narrator tries to complain to Mr. Tamaoki by pinning notes to his door, and she starts to resent Mr. Tamaoki for his lack of responds. The narrator’s irritation over Mr. Tamaoki lack of responds shows that she has an interest in social human contact. The narrator doesn’t want to admit her interest in social human contact, so she disguises her interest as irritation and resentment. The narrator starts observing Mr. Tamaoki and becomes like the neighbors’ without noticing it herself. Mr. Tamaoki is both a reflection of the narrator’s current person and the person, she wishes to become even though the narrator is ignorant of this fact. Mr. Tamaoki is a foreigner in a new country, where he does not speak the native language. This isolates him from the rest of Mortimer Streets residents. The narrator thinks that Mr. Tamaoki resembles herself ,because she believes that he has chosen to isolate himself from the other residents’ of Mortimer Street. This however is not the case. The narrator overhears Mr. Tamaoki practicing English phrases and this shows that Mr. Tamaoki has a desire to interact with people. This desire is shown again, when Mr. Tamaoki invites the narrator in for a cup of tea. This interaction translates to the title of the novel. The narrator has previously compared Mr. Tamaoki and herself to the bird from the zoo. Now the two birds are sitting in Mr. Tamaoki apartment drinking tea. Even though the narrator and Mr. Tamaoki sit in silence, she feels comfortable around another person. Mr. Tamaoki stands op after a while and get the narrator to look in the refrigerator. There she sees a colorful display of vegetable birds. She is amazed, and she notices how beautiful and detailed every bird is. The narrator`s anger towards the vegetable delivery disappears. When the narrator was unaware of the use of the vegetables’ ,they were an irritation to her but after she discovered the use of them, she sees the beauty in them. The narrator describes how people would perhaps wonder the birds briefly but they where most likely to ignore them altogether and therefore ever discover their beauty. These birds are a symbol of how the people of modern society observe and do not make an effort to discover the beauty and details of others. Mr. Tamaoki leaves Mortimer Street soon after the visit. Mortimer Street was Mr. Tamaokis nest. It was isolated and safe from the rest of world, but Mr. Tamaoki has left the nest by moving and is now facing the world. The narrator starts missing the sounds and movements coming from Mr. Tamaoki apartment after his departure. The coldness of Mortimer Street is no longer a comfort to her, and the narrator starts noticing her other neighbors. One day she finds the door to Mr. Tamaoki apartment open, and she goes inside where she finds a packet of Japanese green tea with her name on it. The narrator decides to invite her new neighbor in for a cup of tea. The departure of Mr. Tamaoki has made the narrator realize that people are not supposed to live like birds in cages. People should interact with each other like birds are meant to be flying among other birds and not be watched though the bars of a cage. The novel also ends with â€Å"†¦ In the semi-darkness of my room, with the fire casting stilted red shadows on the wall, the rising steam looked like a bird’s wings fluttering, ready to fly away.† The narrator is now ready to fly freely among other people.

Saturday, September 21, 2019

Explain the Principal Sociological Perspectives Essay Example for Free

Explain the Principal Sociological Perspectives Essay The functionalist approach in regard to health and ill health came from Talcott Parsons. Talcott Parsons urged that people must be health for the society to function well. He continued to verify that illness is a form of unaccepted behaviour and people who are ill play the sick role. Moreover, his approach towards these members is that the state comes with responsibilities. The rights that are related with the sick role include; People expect to be excluded from normal roles for that period of time. or duties e. g. work, house chores and also to be nurtured. The family play an important role in caring for the sick person. Responsibility of the sick role is; the sick person has to take good care of wellbeing in order to recover and return to normal duties. The functionalist contrast with the with government views regarding illness, that the society will be ineffective with sick people. Major strategies must be considered for the society to function. The Marxist approach: Concerning health, illness and health and social care services that are offered, the Marxist conform that this is an advantage to those in the high class. The government continue to allow advertisement of products that cause ill health and junk food. Moreover, factories manufacture dangerous products and cars cause air pollution. The functionalist view ill health as something that happen any time, whereas theorists say ill heath is a result of differences in the society. For example in areas of poverty there is high rate of unemployment. The government play a small role to eradicate issues that are associated with illness. Therefore people who are privileged benefit in the society. The Interactionist or social action approach: The interactionist approach is focused on the steps that an individual say about the illness, whether the illness existed or not. There are people who are seriously and do not consider themselves to be ill. There can be consequences to the sick person of being labelled ill. The interationists do not consider structures and institutions. However, they look on difficult relationships between people. Family, friends and professionals influence the individual’s declaration of being ill. The interactionist was criticised of leaving the causes of illness and focus on relationships and negotiations that occur. The approach ignores medical reports and environmental factors like depression, poverty and pollution. Concept of health Health is the state when there is no disease. Parson explained health which was proposed by the Who in 1974, as the condition of being physically, intellectual and spiritually fit. The absence of disease received negative report that gives no attention to individual’s physical, emotional and intellectual health. Car providers apply the holistic approach to care and support heath care users. Health care providers view themselves to deal with needs of patients instead of recognised matters. Three strands that were identified by Blaxter are; positive – when a person is fit and well: negative – health is being without pain or discomfort and functional – health is the ability to carry out daily tasks. Models of health Biomedical model The biomedical model originated from Western countries, the model supports the National Health Services. Health is considered as disease not found and professional help is required. The aim of professionals is to treat illness and the model so not focus on patients. Sociologists say look less on environmental factors that may cause ill health. The biomedical model focuses on the ill person instead of environmental and social factors. The biomedical model relates with the functionalist perspective. The functionalist perspectives say that illness cause the society be ineffective. The sick role has responsibilities to cooperate with the medical doctors. The socio-medical model The socio-medical model of health pays attention on environmental and social factors that lead to health in in the community. Researchers obtained information that life expectancy has increased and death rate is falling. The National Health Services provide free medical services. The report support that social factors cause ill health. The socio-medical model fits with the conflict theorists. Conflict theorists identified that there is lower life expectancy and increasing rates of illness people with low income and areas of poverty. Less privileged people have a poor diet and they live in areas where there is pollution. Although politicians identify plans to help people with illness they do not want to contribute. Biomedical model look on diagnosis, whereas the socio-medical focus on environmental factors that cause illness.

Friday, September 20, 2019

FDI and Balance of Payment Relationship in Canada

FDI and Balance of Payment Relationship in Canada Chapter One Introduction History of FDI Foreign investment was very common in the late nineteenth century. It was a strategy from British to provide fund for economic development in other nation, as well as to gain ownership of financial assets. Godley 1999 mentioned in his research that the bulk of FDI that was based on British manufacturing industry before 1890 was in industrial goods sector. He also mentions that most investors failed as a result of narrow focus and their major concern his to enhance British market. Singer Manufacturing Company was an exception due to its commitment to FDI and being the first biggest and modern Multinational Corporation in the world (Moosa, 2002). During the era of interwar in the twentieth century, FDI declined and later rose but there was an astonished development in that period, British status was lost as a world creditor, and USA became the economic and financial power and FDI was favoured by USA tax law. After the world war, FDI increased as a result of two reasons: firstly, good technology in the area of communication and transportation that eliminate distance barrier. Secondly, the need of reconstruction of war damages by European countries and rest of the rich nation around the world. (Moosa, 2002). In the 1980s, there was a decline in FDI (outward). This was due to the fact that most host countries started resisting U.S control and ownership of domestic firms. Also, host countries recovered by initiating FDI in USA which affect US net inflow. In the 1970s, there was a big fall in the U.S FDI but British was back to FDI business as a result of North sea oil boom and the abolition of foreign exchange controls in 1979. In 1980s, changes in FDI occurred in which USA became a net debtor nation and major recipient of FDI with an unfavourable net international position. This was caused by depreciation of U.S dollar, restrictive trade policy and low saving rate in U.S economy. This disenabled the U.S in financing its own investment in its economy, giving rise to needs of FDI from other nations like Germany and Japan. Also, in the 1980s Japan became a major supplier of FDI to U.S.A, Europe and South East of Asia. Most countries embrace Japanese investors because of its provision of chea p labour. The revolution of FDI in the 80s can be attributed to globalization. (Moosa, 2002). In the 1990s, there was reasonable improvement in the investment climate which exposed most countries to the benefits of FDI. Some of the reasons that led to the improvement FDI of are: removal of FDI obstacles, changes in attitude and increases in FDI intensive. The removal of local hindrances through deregulation and privatization was favourable to FDI. Another remarkable thing that happened in the 1990s was the fall in the importance of Japan as a front runner of FDI. This caused economic doom in Japanese economy. Finally, FDI has gone through many reforms from countries to countries, in the late 90s, the number of treaties for the avoidance of double tax reached a total of 1871. In 1998 and 1999 some measures like protection, liberalization and promotion was brought in by the host nation (policies) on FDI. (Moosa, 2002). Globally, the economic development of deeper and more sophisticated internal and international financial market, improvements in information network and technological advancement have made contribution to sound financial and economic integration. For a nation to partake in any of the economic gains arising from these processes it need to adopt reform policies to improve efficiency. Most countries advocate FDI to encourage economic development because of its indirect impact in the host economy due to increase in competition, technical know-how and technological spill-over via multinational corporations to domestic firms. Gorg and Greenway (2002, stated in Morris 2008, p.4) that a possible channel is one in which domestic firms are thought to imitate the technology used by the companies. This will result to better ways of local firms of making their production. Competition is another positive effect of FDI. The entry of foreign companies compels the domestic ones to be more efficient in all ramifications. The latter gains better skill will from employee training through new improved technology requirement in the production process. (Morris 2008). FDI helps local firm to bypass government bureaucracy, legality and financial obstacles encountered in the host economy. International organisations always recommend that less developed countries rely mainly on FDI as a source of external finance. Hericourt Poncet (2008, p.1) confirm that the development of cross border relationship with foreign countries help private domestics firms to bypass both the financial and legal obstacles that they face at home At the same time, many may not be pleased with the policies that encourage FDI which might be unfavourable to host economy since foreigners will have share in domestic economic activity. According to Holden (2007), there was an argument that foreign-controlled investments may be bias and not act in the best interest of locals and nationals; that profit may be exported out of the country; and that foreign ownership could have national security implications in situation where industries or products are of strategic importance. These concern links to energy and natural resource sector. The concerns may lead to countries to place restriction on investment in sector that involves strategic importance. Canadian Chamber of Commerce had an annual general meeting in 2007. A resolution was passed Attracting FDI to Canada, among the issues discussed in the meeting was an advise for Canadian government to adopt policies that encourage foreign investor to Canada, even though some call for tighter restrictions for FDI due to its demerits (Morris, 2008). Canada was among the countries that provided a shield for his economy with the provision of 1985 Investment Canada Act. This Act states that any proposed foreign direct investment above a certain amount is subject to review and approval from the industry Minister. For the proposed investment to be approved, it must demonstrate that its proposed investment provide a net benefit to Canada, some of the things the industry Minister will consider are; employment, investment in Canada to compete in the world market, the compatibility of the investment with national industrial, economic and cultural policies and many others (Holden, 2007). Using Canada (a country that has benefited from FDI in all ramifications from the perspective of macro economics level down to the micro level, from one sector to another sector) as a case study. It is obvious that Canada has gained so much in FDI both in forward linkages and backward linkages. According to the Daily (May 6, 2008), the stock of FDI in Canada sky rocketed in the last eight years, and the sector that had the biggest share were the resource based industries. The Canadian Chamber of Commerce Annual General Meeting (2007) passed a resolution titled Attracting Foreign Direct Investment to Canada. The meeting called for the Canadian government to send a clear and positive message to foreign investors that Canada wants inbound investment through a proactive investment strategy and promotion champagne (Morris, 2008). Aim Most previous studies focused on the role of FDI on economic growth but their findings shows that FDI is not significant to economics growth. Carkovic and Levine (2002), prove that FDI does not independently influence on economic growth. However, economic growth and balance of payment (BOP) as a macro-economic objectives of any rational nation, in which there is sort of trade-off in both objectives.(this will be explain in the literature review section ).(pass et al. 1995). Countries calls for FDI coming between the two objectives as result nation rationale of protectionism ( quotas ,high import duties and embargo) to resolve balance of payment problem, and to achieve import substitution and export promotion agenda. Keynesian economic growth model, which is measured with Gross Domestic Product (GDP), have many component such as government expenditure, consumption level, investment, and export minus import (BOP current account). Changes in any of these components will have multiplier effect on the economic growth. (Moosa, 2002). FDI will have direct effect on host nations balance of payment which will indirectly impact the host country growth. The question being asked in this research is there any relationship between FDI and BOP? The aim of this dissertation is to determine the relationship between FDI and Balance of Payment in Canada over the period of 1990 to 2008. This aim will be achieve by building a model to explain the casual relationship between dependent variable and independent variables to figure out the relationship between FDI and BOP. Also, hypothesis will be formulated to test some of the objectives of the study. Robin says in Saunders (2007) that with deductive research its necessary to deduct a hypothesis. The study explores six possible issues: Objectives To determine the proportion of Canadian Capital account explained by growth in FDI in Canada over the period of 1990 to 2008. To determine the proportion of Canadian Current account explained by growth in FDI in Canada over the period of 1990 to 2008. To determine the proportion of Canadian Import explained by growth in FDI in Canada over the period of 1990 to 2008. To determine the proportion of Canadian Export explained by growth in FDI in Canada over the period of 1990 to 2008. To ascertain the relationship between Canadian FDI and Canadian BOP over the period of 1990 to 2008. To examine the major (countries) contributor to Canadian FDI over the period of 1990 to 2008. Significant of the study The significant of this study is to know the role of FDI in achieving one of the macro economic objective. This to ascertain if FDI will affect BOP in Canada positively or negatively. If the effect is positive, there will be needs of improving scope or magnitude for FDI in Canada for the future .However; if it is negative there may needs for government policies to restrict the inflow of FDI to Canada so as to achieve a favourable bop. The consecutive chapters will structure in the following ways: chapter two discusses the theoretical background information related to FDI, chapter three examines the academic literature relevant to the topic and also describes the methodology while chapter four presents the empirical analysis and discusses the econometrics result. The concluding chapter provides a conclusion of the research work. Chapter two Literature Review Theoretical Background (Moosa,2002) defines Foreign Direct Investment (FDI) as the process whereby residence of a country (the source country) acquire ownership of asset for the purpose of controlling the production, distribution and other activities of a firm in another country (the host country). It involves the transfer of financial capital, technology and other skills such as managerial, marketing, accountancy, and so on. International Monetary Funds Balance of Payment Manual defines FDI as an investment that is made to get a long lasting interest in a organisation operating in an economy difference the investor. (Canada Statistics, 2008) defines FDI as a component of a nations international investment position which explains a countrys investment position: the difference between aggregate financial assets and aggregate financial liabilities. Direct investment, portfolio investment and other investment are the component of financial asset and financial liabilities. (Frankel and Romer, 1999) describe FDI as one of the crucial catalysts for economic growth in a nation especially in less developed countries. This statement describes the significance of FDI to a nation. FDI can also be described as a company from one country making physical investment into building a factory in another country. It is the establishment of an enterprise by a foreigner. (UNCTAD, 2002) defines FDI as investment made to acquire lasting interest in enterprise operating outside the investors economy. In short, a business or firm that undertake FDI become a multinational national company (MNCs) because of it ability to own many subsidiaries in many foreign countries. Foreign Direct investment (FDI) plays a crucial role in any host economy in the aspect of economic prosperity and building wealth. It also leads to increase in capital flow and, highly skilled human power, and reduction in unemployment and importation of advanced equipment and technology to enhance output level. This has a direct impact on the nations gross domestic product by promoting economic development. Mutenyo (2008), said most less developed countries now adopt policies that encourage FDI. Among these po licies are privatization, trade and exchange rate liberalization, and, tax rebate and incentives for foreign investors to enjoy the business environment. FDI is different from other components (such as international financial assets, portfolios and so on) of international investment. International Monetary Fund (IMF 2003, p.6) define FDI as a category of international investment that reflects the objective of a resident in one economy (the direct investor) obtaining a lasting interest in an enterprise resident in another country (p.6). IMF further explained that a direct investment is established when a foreign investor has more than 10% ordinary share or voting right of a host country enterprise (IMF 2003, p6-7). In Canada, direct investment is measured as the total value of equity, net long-term claims and net short-term claims held by the enterprises border (Canada Statistics, 2008). FDI has been increasing globally over the last two decades. Especially in the 90s, FDI increased more than the world economic growth. According to United Nations Conference on Trade and Development (UNCTAD) data collection pertaining to FDI regulations in 1991, it shows that between January 1991 and December 2002, total of over 1600 measures were introduced by 165 countries; more that 90% of them was in favour of FDI in terms of changes; the nature of the introduced measures ranging from security for investors, to liberalization of rules governing the inflow of foreign investors, to measures that are promotional in nature(UNCTAD, 2003). The measures were extended to the international level through double taxation treaties (DTT) and bilateral investment treaties (BIT). Over the last four decades, FDI have gone through series of transformation in Canada. Gellaty 2006 (in Morris, 2008, p6) explained the reason for the emergence of the Foreign Investment Review Agency (FIRA). Due to growing concern of FDI in the late 1960s and early 1970s, the Foreign Investment Review Agency (FIRA) was established to regulate and monitor FDI. The regulation governing FDI and FIRA was replaced with Investment Canada in 1985. The regulation was aimed at protecting and promoting FDI in Canada. There was also an implementation of Canada-U.S Free Agreement (CUFTA) and North American Free Trade Agreement (NAFTA) to promote FDI further in Canada. FDI appear to be a topic that covers both narrow and broader area. Feenstra (1999,quoted in Liebscher 2007, p.3) expresses FDI as the combination of both international trade in goods and international financial flows, and as a phenomenon more complex than either international trade or international financial flow. From micro-economics perspective, FDI raises the issues of location consideration and ownership. From the macro-economics angle, FDI considers the fear of unemployment and the loss of freedom. For Policy makers, FDI is an issue to balance the benefits of spillovers with growing concern of the public. The concern authorities will be rational in policies that will favour FDI and all concern parties. FDI is one of the key features of the modern globalized world. According to (Peter 2008), most industrialists believed that there is international links in the late medieval and early modern era. They were also of the opinion that multinational firms became crucial in numerous ind ustries in the late nineteenth century but the period since World War II and in particular, since 1985 have seen an explosion in FDI both in relative and absolute terms to the levels of trade and gross domestic product. However, economic theory provides an extensive economics literature which was developed to investigate the causes, nature and consequences of FDI. One of the reasons for the creation of FDI is as a result of cheap cost of production in the host economy. FDI occurs when the benefits of producing in a foreign market out weighs the cost of economic of scale from producing exclusively in the firms home plant (Neary 2008, p.13). This benefit can be explained by the concept of proximity –concentration trade-off. That is foreign firms take advantage of trade off in production in home countries which will expose them to high exportation cost and international trade barriers relative to proximity to customer and low transportation cost. There are some conflicting predictions about the effect of FDI on economic growth. Blomstrom and Kokako (1998, quoted in Mutenuyo 2008, p.3) explain that spillover occurs if the entrance of multinational enterprises (MNE) result to efficiency and produc tivity benefit to the domestic firms in the host country and MNE is not able to internalize the full value of these benefits. On the other hand, negative externalities exist if the activities of FDI result to loss in efficiency, productivity and profitability among the local firms and the alien investors do not compensate them for their loss. In a nutshell, FDI can be detrimental to an economy. MNE are assumed to compete favourably with the more advanced local firms since the local firms will have an edge over the foreign investors in local market share, skills, export contracts, cordial relationship with suppliers and the customer and so on. On the other hand, the foreign firms may be more advance in technological know-how, research and development, and the financial resources for their home economy.(Hericourt and Poncet ,2009) confirms that the development of cross-border relationships with foreign companies helps private firms to bypass both the financial and legal hindrance that they face at home. Types of FDI The types of FDI can be considered from dual angle: from the perspective of foreign investor country and from the perspective of host country. Since the study is focused on Canada, FDI will be examined in both ways. There are three types of FDI- vertical, horizontal and conglomerate- from the perspective of the source nation (investors). Vertical FDI: (Hill,1998) provides a clear illustration of vertical FDI by dividing into two: Forward vertical FDI and Backward vertical FDI. The former is applicable in a situation where a local firm invest into another industry abroad that sells the output product of the local firms production process, while the latter is used when the foreign sales of a firm provide inputs for the downstream operation of the local firms. Horizontal FDI: is applicable when the goods produced in the host country are the same as in the home country for horizontal expansion (Caves, 1971). (Hill,1998) defines it as firms invest in the same industry as the same operational activity in their homeland. Conglomerate FDI is the combination of horizontal and vertical FDI. That is, firm operating in separate business, (Luladhar 2008). FDI FROM THE ANGLE OF HOST ECONOMY Export-increasing FDI: is caused as a result of items produced in host country as an input for home country; such as raw material or intermediate goods. This type of FDI will enhance the exportation of the host nation if there is high demand for the raw material or intermediate goods from the home country. Import- substituting FDI: This type of FDI is applicable when the goods previously imported from the home country are now been produced from the host economy which will generate more employment .This is caused as a result of host government policy on trade barriers, market size, labour cost and so on. Government initiated FDI: This is when the policy makers provide some incentive that attracts foreign investors into the host economy. This incentive could be tax holiday, tax discount and so on. The Determinant of FDI (Motives) There are four motives that determine FDI. These determinants provide reason why firms should use FDI to tap in business globalization. These motives are acquired inputs (raw material orientation), market orientation, cost orientation, and strategic asset seeking motives orientation. Raw Material Orientation: According to Dunning (1993), availability of raw material is the bed rock of any firm, especially the manufacturing firms. Usually the cost of importing raw material from the source to where is needed is outrageous, even the duration cost of getting the raw material to host firm is another visible problem that affects the overall performance of production. Therefore, it is more economical for firms to produce in an environment that has easy access to raw material.s (Atik et al., 2008). Market Orientation: This is when firms produce goods in a host country instead of shipping it directly from the home country. This occurs when foreign market is protected by the government restriction goods importation or high importation duties. It will cost less to produce in the host economy market to avoid international restriction and unnecessary cost. Market orientation draws foreign supplier closer to the buyers in the host economy. (Atik et al., 2008). Cost- Orientation Motive: Cost minimization is one the firms strategy to optimize profit. Porter (1998, stated in Atik et al.2008, p 29) explains that among the generic strategies of a firm, cost leadership is the best strategy. In cost leadership strategy, a firm will prefer to become the lower cost producer in its industry. So firm prefer to site their location where they will enjoy the lower cost of factors of production. Good examples of this firm from developed nation prefer to locate their firms in less developed nation because of cheap labour and other cost of production. Asset Seeking FDI: Foreign firms prefer to have access to gain industrial asset in host country which will more profitable to have in there home country. The foreign firm will sustains or advance its international competitiveness, technological advancement, and opening up the new market though its asset accusation from the host nation (Atik et al., 2008). There fore, a firm that owes foreign asset is better positioned in global market competition compare to its counterpart. Theories of FDI Most literature reveals why investors prefer to produce abroad instead of staying in the home country. Dunning 2003 p.278) assert that the growth of existing foreign value activities in service might require a different set of explanations than to follow initial decision to invest abroad. There are some theories that explain FDI and MNEs in global business especially in goods sector. (Helldin ,2007) is of the opinion that FDI theory is fragmented and consists of various economic theories. There are no complete theories that explain FDI; it was just the bits by bits from numerous authors. Hymer was one of the first authors to explain the theory of FDI in 1960(mention in Na, Lv Ligthfoot, 2006). Hymer believes that the multinational national companies (MNCs) have the potential to expand the business due their oligopolistic nature. He said MNCs have firm specific advantages that create market power on global market due to their technical know-how, product differentiation, RD and so on. Dunnings Eclectic Paradigm (Professor John H. Dunnings 1977 OLI-framework also called Dunnings eclectic paradigm) Dunning 1977,Helldin 2007, p8), explains that the three factors that constitute to MNEs location in host country. These factors are Ownership Specific Advantage (O), Location-Specific Advantage (L) and Internalization Advantage (I). Ownership specific are business advantages such as capital, advance technology, well known brand names and product with dominant standard (p8). It further explained that the higher the level of business competitive advantage are compare to foreign competitors on a specific location the more the business will be involved in foreign production. Location will also be based on the countries competitive advantage, originated in the partners home countries (Helldin, 2007). Ekstrom (1998 stated in Helldin 2007) is of the opinion that the combination of O with L is why a specific location is chosen to make FDI. The third (internalization) advantage is meeting demands on global market by trading. (Dunning 1977, Helldin 2007, p8). Ownership Specific Advantage (O): MNEs enjoys business advantage in some area such as size, established position, and monopoly power. MNEs also have some specific advantage in some business area such as capital, advance technology, research and development, highly skilled human capital, trade marks, receipt of government grant and property right over intellectual property (Bennett, 1999). Location Hypothesis (L): This hypothesis explains the existence of FDI which is a result of international immobility of factors of production: labour, natural resources and weather. The immobility factors result to location-related differences in the cost of production. Horst (1972b, quote in Moosa, 2002, p.33) used this hypothesis to explain US FDI in Canada. Most MNEs prefer to locate their production facilities in an area where there is cheap labour. Lucas (1993) proves that there is inverse relationship between FDI and wages. He explained that a rise in wages in the host economy will increase the cost of production and have adverse effect on production and FDI. This will shift the host economy from labour incentive to capital incentive and will also encourage FDI Lucas (1993). The advantages of location specific (L) include low transport cost, low purchase input, economics of large scale, good communication, low labour cost, near to market advantage, availability of local business support ( market research firm) and the avoidance of trade restriction (artificial barriers) impose by host nation to reduced import (Bennett, 1999). Internalization Hypothesis Internalization hypothesis explains that FDI arises due to the impact of MNEs. MNEs is established to replace market (external) transaction with internal transaction. Coase (1973, says in Moosa, 2002) is of the opinion that market cost can be saved by forming a firm (p, 32). He gave an example of bottleneck encountered in purchasing oil product while compelling a firm to buy a refinery. These problems are caused by market failure and imperfection in intermediate goods, including technical know how, marketing and management enterprises (Moosa, 2002). MNEs invest in host countries in order to boycott expensive suppliers and distributors. Foreign government import restrictions will be avoided through local subsidy rather than exporting direct. Also the marketing aspect will be managed and controlled by the producing firm; there will be no intermediate sales or Value Added tax (Bennett, 1999). According to Dunning (2003), internalization incentive advantages are to protect or exploit mar ket failure (p.99). The Product Cycle Theory The theory was invented by Vernon in 1966. This theory explains the competitive advantage possessed by MNEs or potential MNEs originated in a country instead of another. The competitive advantage move from a stage of local production in home market, to exportation, and then to FDI (Dunning 2003). His theory was a based on U.S. directs investment in import substitution producing activities standards and economics structure. Also the ownership advantages of firms that produces or supplies a product had a little say about the advantages of common governance (Dunning, 2003). The theory is more useful in analysis of MNEs in FDI activities such as capital exportation, services activities, inward outward investment and so on. Core –Asset Theory Core Asset Theory was propounded by Hymer in 1976. Dunning said the theory explains the territorial expansion of a firm in terms of its exclusive or privileged possession of intangible assets, which it perceived could be utilized in a foreign country Dunning (2003, p.279). Several writers have to identify which O specific right were the most significant in determining the ability of MNEs to compete in foreign market. The theory examines the role of Foreign Service firms in market seeking sector, which is different from Product Cycle Theory focus on resources based industries or manufacturing sector. Also the theory was less concerned with where firms or MNES are located. According to Dunning (2003), the theory underestimates the important of the organizational mechanism by which the competitive advantage (Product Cycle Theory) is exploited (Dunning, 2003). The theory is limited to FDI or MNEs in technological advancement ,RD, position, product quality and so on, but it just examines the growth in foreign firms in global oriented and integrated service industries (Dunning ,2003). Strategy Related the Theories Knickerbocker, in 1973, was the first person to examine the strategy of MNEs. His analysis was that MNEs activities will be a function of high seller concentration. Dunning (2003) stated that Knickerbocker hypothesized that MNE activity would tend to be concentrated in industries characterized by high seller concentration, and that firms in those industries will engage in follow my leader tactics in the timing of their foreign investments, to protect or advanced their global competitive position (Dunning, 2003, p.280). Most studies on MNEs, the area of extraction, manufacturing and the likes was in support of this theory but the theory was less relevant in foreign firms activities in service industries because of its less oligopolistic nature (Dunning, 2003). However, these theory was fragile in MNEs with high level of diversification since one of the main aims of MNEs is expansion and diversify in area like service sector which may be outside their main activities which will create problem for the theory. The Risk Diversification Hypothesis The theoretical background of this hypothesis can be traced back to the theory of portfolio selection by Markowitz (1959) and Tobin (1958). The risk diversification hypothesis was propounded by Grubelin in 1968, but the idea was revisited and made known by Rugman in 1979. The hypothesis was that MNEs reduces the portfolio risk by diversification, which is investment in foreign assets that usually consist of service industries like banking, insurance, communication and so on. Most construction firm may want to make their working capital active by buying financial assets (Dunning, 2003). This kind of investment is not capital intensive. The Aliber Thesis Alibers (1970 1971, quoted in Dunning, 2003, p.280) seek to determine why firms pay their foreign assets in local currencies when they produce abroad. The theory explains that foreign firms take advantage of the home stronger currency to acquire ownership of assets in host economy due to their weak currency. Albert also argues that fluctuation in foreign exchange market that result to undervaluation or overvaluat

Thursday, September 19, 2019

Hope by Emily Dickinson Essay -- Papers Emily Dickinson Hope Essays

Hope by Emily Dickinson As a literary woman of the nineteenth century, Emily Dickinson wrote, ? ?Hope? is a things with feathers- that perches in the soul- and sings a tune without the words- and never stops- at all.? Are you listening? Does your soul too sing a melody, an ongoing tune to which you delicately move, and never stop? Here Dickinson suggests an aspect of life, a struggle for spiritual freedom, that applies to many women within the nineteenth century, as well as the women of today. My consciousness speaks to me; a spark of hope rests inside my soul, hoping to emerge into the sunlight of each new day. I am a woman; I am a delicate woman who listens to Dickinson?s fine words. I listen to the tune that never ends, in a constant search for achieving my own ?space.? Everyday, I struggle to free my feathered bird from its cage. Dickinson has identified with her internal struggle as a woman, to achieve an outer space, and as the bird, she freed herself from the cage that held her spiritual soul. A caged bird symbolizes Dickinson?s soul. Similarly, fictional women in nineteenth century literature are caged birds. Consider for example, Kate Chopin?s, Edna Pontellier in The Awakening and Charolette Perkins Gilman?s, Woman, in ?The Yellow Wallpaper.? Initially in Kate Chopin?s, The Awakening we meet a fair, frail, passionate woman, Edna Pontellier, whose destiny is to fall into spiritual depression. She is a caged bird that cannot be released from her own spiritual confinement until she recognizes her own strength to do so. Edna?s childish, capricious tendencies, concerning her submissiveness towards her ?lovers? and adultery towards her husband create confusion in finding the outlet for her freedom and passion. ... ...soul within me? Who keeps the bird from singing a melody which I understand I ask the same question for the fictional women I have studied. ?Is it within one?s strength to determine who has the key to the cage As I continue to struggle for the answers to my questions, I continue to listen to the bird that is perched within my soul, singing the ongoing tune- that never stops at all. I too, one day, hope to free myself from the cage that holds me back from life, a free spiritual life. Works Cited Chopin, Kate. The Awakening, Susan Gilbert, Ed. The Awakening and Selected Stories. New York: Penguin Books, 1984. Dickinson, Emily. ?Hope.? The Complete Poems of Emily Dickinson. Ed. Thomas H. Johnson. Boston: Little, Brown & Company, 1960. Gilman, Charolette Perkins. The Yellow Wallpaper. Wallace Stegner and Mary Stegner,

Wednesday, September 18, 2019

A New View on Writing :: Essays Papers

A New View on Writing As long as I can remember, I have always been opposed to writing. All through my school career, I have written mediocre papers just to get by. Every time I would hear a teacher say that we had a writing assignment in the near future, I would immediately plan the short cut, the easy way out. My senior year began as no exception. During my senior year at Schuylkill Haven High School my English teacher was a colorful, middle-aged woman named Ann Barton. She was without contest the most personable teacher I have ever had the pleasure of learning under. She actually cared how her student’s lives were going and would give sound experienced advice. She loved to teach and that passion was obvious to everyone who knew her. As my senior year progressed, Mrs. Barton and I became very close. She had noticed that as the year waned, I seemed to be more and more wary of graduation. Always able to sniff out the truth, of course she was right on. Everyday that passed I lamented every aspect of my life to come: college, family, careers, everything. Then the final week of school arrived, and even for Mrs. Barton an unexpected thing happened. My fellow seniors and I were sitting in her room before class discussing how we were going to manage yet another English class when Mrs. Barton walked in with her usual intense and disturbed look. She said in her heavy Scottish accent, â€Å"I’m done with class. I’m tired of this bloody school†. â€Å"It’s your decision. What do you want to do?† We looked one to the other for a moment, but no one had any idea what we should do. Then finally she said, â€Å"If no one decides than I will.† Immediately the plan became the appreciation of the beautiful day. We were all going out to compose an outdoor journal. Everyone sighed and slowly trudged toward the door. As I headed in the same direction Mrs. Barton stopped me and explained how she would love to read my views on graduation and my future, and that this would be a perfect opportunity to release my burdens by writing of the tensions I had been facing.

Tuesday, September 17, 2019

Leadership and Entrepreneur Essay

Leadership and entrepreneurship have become more popular recently so that many researchers have been studied about these subjects and tried to find out their definitions and nature (Northouse, 2007; Kuratko and Hodgetts, 2007 and Deakins and Freel, 2009). It cannot be denied that there are a huge amount of people having leadership and entrepreneurship characteristic. In order to have a look closer about the leadership and entrepreneurship, the author will take the case of Conrad Hilton as an example to evaluate. However, before doing that, some significant leadership and entrepreneurship theories such as definitions and characteristics of different approaches will be reviewed critically. This essay will be divided into three parts. It will commence with theories of leadership and then focus on entrepreneurship and the last part will combine the theories with term of actual life by judging the characteristics of Conrad Hilton about his leadership and entrepreneurship characteristics. The first part aims to review leadership theories critically. It includes definitions, distinctive approaches and variety of factors that impact on leadership. There are a number of different definitions about leadership have been published (Stogdill, 1974). According to Northouse (2007), they are divided into six types such as focus of group process, personality perspective, act or behavior, power relationship, transformational process and skills perspective. However, Northouse (2007) states that there are four components such as: leadership is a process; leadership involves influence; leadership occurs in a group context and leadership involves goal attainment play a role as foundation for all of types. Based on this foundation, the widely accepted definition about leadership can be defined as follow: â€Å"a process whereby an individual influences a group of individuals to achieve a common goal† (Northouse, 2007, p. 3) and this is also the suitable one related to discussion in this essay. From this definition, it can be seen that leadership is an interaction behavior between leaders and followers as well as this the definition also indicates the important of the factor â€Å"influence†. It is clear that without this factor, leadership will not exist. However, this factor does not only stand for the power of leader with followers but also followers with leader because this is two-way relationship. In addition, the second factor should be considered is â€Å"group†. Whatever the size and type of group such as a community, an organization or a small group, leadership can only occur in context of group. Although each person in each group can have different individual purpose, they still have the same goal and they influence each other to achieve that common goal. Obviously, common goal is one part of leadership. Last but not least, this definition of leadership considered attendance of goals. This means leadership has to guide the group achieve the goals. As can be seen from this definition, leadership can be any member in the group, it is not a particular person. This means in the process going to achieve common goals of the group, anyone can be a leader and has influence on others. According to Northouse (2007) the leader of a group has five key traits such as sociability, intelligence, self- confident, determination and integrity. Those five key traits have been utilized in order to adjudge employees’ leadership skills. The following issue of leadership theory is leadership’s nature. As the same situation with leadership definition, its nature also has a several opinions. Authors such as Jago (1982), Bass (1990), Burns (1978), Heller and Van Til (1983), Hollander (1992) considered leadership as a process, while author such as Bryman (1992) defined it as traits. Among those authors, some of them approached leadership as a prominent situation whereas others viewed it as an assigned one. As a viewpoint of Bryman (1992) seeing leadership as traits, considered leadership as one’s property and different people will have different level of leadership (Northouse, 2007). As the result, following this view, leader can be seen as born-talented and it seems could not be learnt. This view will make people unconfident and do not have motivation to develop their leadership skills. The second concern about the nature of leadership is the distinction between the view of assigned and the view of emergent in leadership. With the view assigned, leadership is understood as the one in a position of a formal organization. For instance, course leader or dean of a department. However, it can be seen that in some cases, assigned leadership is not the real leader of the group. In contrary view, leader can be anyone who can influence people in a group whenever he has an occupying position or not. It is emergent leadership and there are two points of view about the emergent leadership. On the one hand, some authors state that personal traits will make the point. That means the person who has brilliant brain, confident and dominant performance will become a emergent leader (Smith and Foti, 1998). On the other hand, other researchers point out that the emergent leader is the person who is sociable and always seeking others’ opinion (Fisher,1974) Finally, thinking about two concepts of leadership and management, comparing some aspects of two of them, people will confuse whether it is different or not because they have many common things. For example, human and their relationship will be the center of both concepts. In addition, achieving one or more common goals is the purpose of the two concepts. Moreover, two concepts involve process. In brief, many functions of management are also mentioned when envisaged about leadership. However, the nature of the two concepts can prove that they are two different concepts. Kotter (1990) cited in Northouse (2007,) shows that the order and consistency of organizations is the primary function that provide by management while change and movement of organizations is the primary function of leadership. This means management seems to be more ordered and stable, whereas leadership is about looking for adaptive and constructive change. The second part is about entrepreneurship. The same situation with leadership, entrepreneurship also has a huge amount of definitions and descriptions that over the decades, authors such as Bowen and Hisrich, 1996; Morrison, 2000; Deakins and Freel, 2006 try to clarify (Kuratko and hodgetts, 2007). For instance, Schumpeter (1951) indicates that entrepreneurship is one of aspects of leadership in the wide context. Meanwhile Shapero (1975) states that entrepreneurship is a type of behavior such as risk taker, innovator and visionary. However, the most used definition by many authors when talking about entrepreneurship is â€Å"the process of creating something new with value by devoting the necessary time and effort; assuming the accompanying financial, psychic, and social risk and uncertainties, and receiving the resulting rewards of monetary and personal satisfaction†. This definition was written in the text book of Baron and Shane (2008), Hisrich et al. (2010) and Kuratko and Hodgetts (2007) Seeing inside entrepreneurship, it is easily to discover that there are some different theories written about its nature over decades (Kuratko and Hodgetts, 2007). In order to evaluate, the two approaches will be used are â€Å"School of thought† approach and process approach. On the one hand, the first approach called â€Å"school of thought† divided entrepreneurship into six different activities such as environment, financial, traits, venture opportunity, strategic formulation. This essay will look into each activity in order to have a clear concept about its nature. First of all, Van de Ven (1993) state that environment â€Å"school of thought† viewpoint is external elements could affect entrepreneur. For example, the social group or socio-political that the entrepreneurs join in can influence them not only in positive way but also in negative way. Secondly, when raise the idea about financial school of thought, Brophu and Shulman (2002) indicated that entrepreneurship present based on capital-seeking process. This can be understand because â€Å"This school of thought views the entire entrepreneurial venture from a financial management standpoint† (Brophy and Shulman, 2002 cited in Kuratko and Hodgetts, 2007, p. 38). This view expresses that financial essential for a development of entrepreneur. Thirdly, traits in entrepreneur are the school of thought that has been researched the most (Shaver and Scott, 2004). This view considered that the success of entrepreneurs come from the characteristic such as achievement, creativity, determination and technical knowledge (Shaver and Scott, 2004). In this school of thought, it can be found the two opposite point. Aronsson (2004) believes in the element of entrepreneurship such as creative and challenging. In this view, he seems to be except education factor in entrepreneur development. Contrasting this point, Katz (2004) states that entrepreneur can be made by education. The positive of this point is that it will motivate people in learning to become entrepreneur based on the education and training program. This is very important to enhance entrepreneurship (Katz, 2004 cited in Kuratko and Hodgetts, 2007). Venture opportunity is another school of thought and it concentrates on the opportunity aspect of venture development. It means if someone want to be a successful entrepreneur, he/she must has the awareness of market and be creativity (Kuratko and Hodgetts, 2007). Last but not least, some researchers have been focused on strategic formulation (Steiner, 1979; Lyles, 2001; Hitt et al. , 2001). In this school of thought, the successful development of entrepreneur cannot be absent of the planning process and this must be uniqueness (Kuratko and Hodgetts, 2007). On the other hand, Morris et al. (1994) indicate that process approach also has some point of view such as integrative, assessment and multidimensional. While there are different approaches and it looking in to different aspect of ntrepreneurship, Kuratko and Hodgetts (2007) wrote that the common aim of those approach is â€Å"to describe the entrepreneurial process as a consolidation of diverse factors† (p43) In order to have a comprehensive context about entrepreneurship to adjudge the selected person, some other theories will be added besides the two approaches ways discussed above. For instance, entrepreneur is defined as whom alert to profitable opportunities for exchange (Kirzn er cited in Deakins and Freel, 2009) whereas Schumpeter (2009) viewed it as an innovator. The view of Kirzner make everybody can be an entrepreneur while Schumpeter think that only person who has special ability can be entrepreneur (Deakins and Freel, 2009). Looking into two viewpoint above, it is easily see that Kirzner’s view is better because people can have motivation to become entrepreneur. There are also having a lot of conceptualized of entrepreneur of other authors such as Stokes and Wilson, Drucker. However, the most common entrepreneur approach is the trait approach. The trait approach indicate that there are five popular personality of entrepreneur: need for achievement, need for autonomy, self-belief, risk-taking and locus of control (McClelland 1961; Getz, Morrison & Carlsen 2004; Wu 1989; Stokes and Wilson 2006; Drucker 1995; Brockhaus & Horwitz 1986 ). Based on those theories, the author will apply on Conrad Hilton. The essay’s author notices that although Conrad Hilton has both skills and traits in terms of leadership and entrepreneurship, it is easily seeing that his entrepreneurship skills seem to outweigh his leadership ones (Baird, 2004). In fact, no one can deny Hilton’s entrepreneurship abilities because of clearly evidences. This is illustrated in Baird’s research that he tends to do his business in different ways with very good vision and high level of self-believe. Baird (2004) indicates that in 1950s when a platoon of hotels in Washington, New York and Chicago could not get the profit and led to loss, Hilton bought them then operated and got the profit from them. In addition, a â€Å"magic formula† of financial management standards was guided to set in all hotel departments by Hilton in order to reducing costs as well as increasing profits when guest services are remained and enhanced. Moreover, after the World War I, Conrad Hilton was always seeking new opportunities for his business. In 1919, when visiting the Texas town of Cisco, he quickly realized the oil fields and railroad travelers were the new potential business. Thinking about the experience of operated family’s hotels in New Mexico, he can make Mobley Hotel operation better so that he bought it instead of a local Cisco bank. His business seems very profitable when his hotel averaged 300% occupancy and its profit can make him have enough money to buy the second hotels in Fort Worth despite of the 1920 depression (the Melba, in October 1919). After that, he continued bought two others small Texas hotels. By the end of 1923, the hotels room operation in Texas was 530. During the stock market crash in 1929, as many other American’s hotel, Hilton hotels performed poorly and was going to bankruptcy, however, instead of declaring bankruptcy, he challenged his business again by making a financial agreement with the National Hotels Corporation. Once again, his business was imaging successful and money earned from that business allowed him to pay off all his loans before. Strand (1951) supposes that the efficient Hilton â€Å"magic formula† management system has kept the hotels profitable even with low occupancy. All of those evidences present Conrad Hilton entrepreneurship skills including doing things in different way, need for achievement, need for autonomy, self-belief, risk-taking and locus of control as mentioned in the theories review part above. Moreover, the most clear and convince evidence is that Comfort (1964) has considered Hilton as an international entrepreneur (Baird, 2004). By contrast, although it is though that he is also a leader, there are very limited references mentioned this aspect of him. From the resources have been found by the essay’ author, only Baird (2004) states that Hilton played â€Å"a leadership role in support of an economic mean sand a philosophical approach to achieving world peace†(Baird 2004, p. 3). As a result, â€Å"he became not only a business leader but also a statesman with access to world leaders† (Baird 2004, p. ). According to theories above, it can be said that he belongs to assigned leader because he is not only a chairman in his hotel organization but also a statesman in American political system. However, combining with the process of getting successful in his life in which many his special traits have been presented, it could be said that he also has potential to become an emergent leader without any formal position. To be brief, it is clear that the controversy about leadership and entrepreneurship will never last among writers over years. Although those theories above are a small part of the giant knowledge about leadership and entrepreneurship and they are not really holistic, they still can be seen as the best core knowledge of these fields. Therefore, the evaluation of skills and ability about leadership and entrepreneurship of Conrad Hilton in hospitality and tourism industry based on these theories is acceptable. In the discussion above, it can be stated that Conrad Hilton is not only an entrepreneur but also a leader specially assigned leader. However, his entrepreneurship is out weight of leadership.

Monday, September 16, 2019

Challenges of Mobile Commerce Essay

Currently, there are a number of mobile commerce applications that can be used by consumers with suitable handsets. For example, now customers in some countries like Japan and UK shop via their mobile handsets exactly similar to shopping in malls. The applications include mobile banking (financial services), advertising, product location and shopping, auction and reverse auction, and entertainment, to name a few (Varshney and Vetter, 2001). Table 1 shows summary of mobile e-commerce that is now available in market. The table also explains the relevant questions for each mobile commerce applications. Among twelve issues in mobile commerce, this paper only considers three of them; they are security issues of mobile commerce, development of complex application in limited speed of mobile processor, and human-handhelds interface through the development of attractive graphical user interface in mobile devices (Tarasewich, Nickerson, and Warkentin, Merrill, 2002). Amidst the increasing number of consumers that shop online via mobile devices, there is a potential threat that could prevent the fast adoption of mobile commerce; the threat is security. It is known that electronic commerce including e-commerce is potential to malware that contains viruses, adwares, or hijackers that collect our credit card information and sending it into a remote host for further criminal actions. In order to eliminate this threat, mobile application developers provide high-level threat into personal and corporation confidential information such as password and personal identification number (PIN). Since computer technology has gone mobile, the applications and computer program also follow. Therefore, it is also common to find many applications that tailored to work on mobile devices such as wireless e-mail and Microsoft Office for mobile handsets. However, mobile devices have some drawbacks such as limited bandwidth allocation that restricts the use of several mobile applications such as video conferencing over the phone, high-speed internet, bus on demand and may others. In addition, mobile handhelds are also limited in processor speeds in which highest processor speed for typical PDAs is about 400 MHz while desktop computers have achieved more than 2 GHz. The question is what type of interface that between the messaging services. Fortunately, to simplify and enable customers to use mobile devices, currently, there is new module called a hyperbolic tree that allows users to view and present their information on an easy-to-use, interactive, multi-dimensional tree, with additional visual navigation features. By definition, hyperbolic trees are dynamic visualizations, just like tree map, fisheye view, cone trees, cam trees, and perspective wall that based on interactive manipulation of the structure of the information (Ovaska, 2004). The interesting part in the development of visualization in mobile handhelds is that fact that such devices such as smart phone and PDA have small screen than desktop computer. This fact underlies the way information presented in the devices. Mobile commerce is the next step of online commerce. Therefore, the opportunity for mobile commerce lies on the number of mobile service penetration rates. According to ITU (2005), UK records 62% of mobile penetration rates. This considerably high penetration rate has put mobile subscribers in the U. K. to surpass those in fixed phone lines and imply that mobile commerce will be easily adoptable by U. K. consumers. Table 2 shows U. S. internet penetration rate compared to other countries in the world.