Thursday, November 28, 2019

The Drug Mdma Essays - Substituted Amphetamines, Euphoriants

The Drug Mdma The drug MDMA (ecstasy) is very well known, however it's long term, and cognitive functioning effects are not. The main purpose of this study was to ?establish if users and previous users of MDMA exhibit impairments in more basic level cognitive processes such as working memory functioning, information processing speed, anxiety and arousal? (Wareing, Fisk, Murphy, May 00, 2). In past studies of MDMA, a lot of information regarding its effects has been established yet so much more is still unclear. Topics such as MDMA's relationship to arousal levels and whether the mood and cognitive functioning impairments are long term are either unstudied or virtually unknown. These topics being very important it was decided that a study should be performed. With these ideas in mind, the experimenters focused on two main hypotheses. The first included that MDMA users would be less effective in the random letter generation task. This task studies a persons central executive functioning. The second hypothesis was saying previous, current and non-users arousal levels would differ greatly and users would have the highest anxiety levels. The method the study was done was experimental. 30 individuals participated in all and were divided into 3 categories users, non-users and previous users. Users defined as currently using MDMA, non-users as never using MDMA and previous users were defined as having quit the drug for at least 6 months. There were equal numbers of males and females in each of the 3 groups. The independent variables in this study were the user group and previous user group. This would determine the short-term effects on users and long-term effects on previous users. The control variable was the group of non-users. The dependent variable would be the experiments performed, or more, the gist of the experiments. These experiments were designed to measure central executive measures, background measures, information processing speed, arousal and anxiety. The study included questionnaires, oral questions and simple tasks. The experiments were performed individually on each participant. An important note that was found was that all users, both previous and current, were taking at least one other psychoactive drug in addition to MDMA. This might very well be a factor in all experiments performed. The random generation task is designed to place a constant strain on the central executive and keeps demanding the brain to work and think. Since users and previous users scored less than non-users, it's safe to assume MDMA users have trouble in coping with high levels of cognitive demand. Even previous users have trouble with this test showing that this impairment persists even when you quit taking MDMA. This study also found through the information processing speed test that MDMA users are able to process information as quickly as non-users just not as accurate by a significant amount. In general, the idea the authors were aiming at was that users, or previous users, would score lower on the experiment compared to the non-users. Perhaps the experiment was not as well designed to fit this particular expectation. One of the hypotheses was that users would score less than non-users in a random letter generation task by a significant amount. This was both proven and not proven with the results. The authors found that in the one second production test they were right and non-users did significantly better than users or previous users. On the other hand, this was only a third of the test, there were also 2 second and 4 second tests where non-users did score better but by very little and by no means significant. The other hypothesis was regarding anxiety and arousal saying that with all three groups would differ significantly. This one they couldn't have guessed better, between all three groups they found there was a significant difference with both anxiety and arousal. The study on MDMA and its effects was very inconclusive. The gist of the whole study was to find how a certain type of drug, in the short and long run, affects its consumers. The participants who were studied and compared to non-users all confessed to using at least more than one drug besides MDMA. This brings questions like what kind, how much, how often and how do these drugs

Sunday, November 24, 2019

Free Essays on Ambush In Mogadishu

The Ambush in Mogadishu The Ambush in Mogadishu is the account of the most violent U.S. combat firefight since Vietnam. The United States had been supplying food to starving people preceding this conflict. Warlord Mohamed Farah Aidid and his clansmen had been stealing the food. The United States then stepped in to stop this from happening (Whelan). The United States declared Aidid guilty of committing crimes against humanity. In an attempt to arrest him rebel forces engaged in a firefight that killed eighteen and injured eighty-four Americans. In 1992, the United States sent Marines to Somalia as part of United Nations peacekeeping force (Operation Restore Hope) providing food to millions of starving people. Due to a civil war that had cost the lives of more than three hundred thousand people, international intervention was more than warranted (Cuny). After the conflict quieted down and United States Marines departed, local warlords battling for control of Somalia soon raided United Nations food distribution sites and killed United Nations personnel. The warlords controlled the country by starving their people (Davis). No matter that the rest of the world was supplying vast amounts of aid to relief organizations, the people were starving to death by the thousands. Following the slaughter of United Nations peacekeeping forces, the United States responded with a show of force Task Rangers were sent to Somalia with the primary mission of arresting warlord Mohammed Farah Aidid and his two top lieutenants of his fellow clansmen for crimes against humanity (Holmes). On October 3, 1993 members of the Delta Forces and Rangers were engaged in a pitched battle against rebel forces on the streets of Mogadishu, Somalia. The mission had been to extricate rebel leaders from a known meeting place and should have been completed within an hour. Having met heavy rebel opposition, the eighteen-hour battle resulted in a loss of eighteen ... Free Essays on Ambush In Mogadishu Free Essays on Ambush In Mogadishu The Ambush in Mogadishu The Ambush in Mogadishu is the account of the most violent U.S. combat firefight since Vietnam. The United States had been supplying food to starving people preceding this conflict. Warlord Mohamed Farah Aidid and his clansmen had been stealing the food. The United States then stepped in to stop this from happening (Whelan). The United States declared Aidid guilty of committing crimes against humanity. In an attempt to arrest him rebel forces engaged in a firefight that killed eighteen and injured eighty-four Americans. In 1992, the United States sent Marines to Somalia as part of United Nations peacekeeping force (Operation Restore Hope) providing food to millions of starving people. Due to a civil war that had cost the lives of more than three hundred thousand people, international intervention was more than warranted (Cuny). After the conflict quieted down and United States Marines departed, local warlords battling for control of Somalia soon raided United Nations food distribution sites and killed United Nations personnel. The warlords controlled the country by starving their people (Davis). No matter that the rest of the world was supplying vast amounts of aid to relief organizations, the people were starving to death by the thousands. Following the slaughter of United Nations peacekeeping forces, the United States responded with a show of force Task Rangers were sent to Somalia with the primary mission of arresting warlord Mohammed Farah Aidid and his two top lieutenants of his fellow clansmen for crimes against humanity (Holmes). On October 3, 1993 members of the Delta Forces and Rangers were engaged in a pitched battle against rebel forces on the streets of Mogadishu, Somalia. The mission had been to extricate rebel leaders from a known meeting place and should have been completed within an hour. Having met heavy rebel opposition, the eighteen-hour battle resulted in a loss of eighteen ...

Thursday, November 21, 2019

Accounting and Finance Speech or Presentation Example | Topics and Well Written Essays - 3500 words

Accounting and Finance - Speech or Presentation Example With the increasing globalisation when every country can be seen as an opportunity for the investors the lack of understanding of effective corporate governance can adversely effect the investment intentions of investors.Nowadays corporate governance is seen as the key of attracting investors. Capital flow seems directed towards the companies, which practice fair and transparent ways of governing their organisations. With the changing global business scenario the need of understanding and effective practise of fair and technologically advance corporate governance has also increased. In my speech I will first explain the notion of Corporate Governance then we will have a brief overview of the development of corporate governance codes in the UK and the adaptation of similar codes in the EU.ICAEW (2002) has explained corporate governance in a very effective and comprehensive manner as " Corporate governance is commonly referred to as a system by which organisations are directed and cont rolled. It is the process by which company objectives are established, achieved and monitored. Corporate governance is concerned with the relationships and responsibilities between the board, management, shareholders and other relevant stakeholders within a legal and regulatory framework."There are no hard and fast rules for corporate governance, which can be prescribed for all the countries. ... Accountability of the board to shareholders who have the right to receive information on the financial stewardship of their investment and exercise power to reward or remove the directors entrusted to run the company. Transparency of clear information with which meaningful analysis of a company and its actions can be made. The disclosure of financial and operational information and internal processes of management oversight and control enable outsiders to understand the organisation. Fairness that all shareholders are treated equally and have the opportunity for redress for violation of their rights. According to Meigs et al. (1999) this information meets the needs of users of the information-investors. Creditors, managers, and so on-and support many kinds of financial decision performance evaluation and capital allocation, among others. (P.07) Owen (2001) traces the history of the structure of the British financial system that was shaped by the form which industrialisation took in the 18th and 19th centuries. Following legislative changes in mid-century - principally the Joint Stock Companies Act of 1844 and the Limited Liability Act of 1855 - a growing number of Industrial firms converted themselves from partnerships into limited companies. Some of them remained private, while others chose to have their shares listed, either on one of the provincial stock exchanges or in London. Since than till the decade of decade of 1980s, there was no specific development in the field of Corporate Governance in UK. Tricker (1984) mentioned the same fact as, "In the past there seemed a, no demand for independent supervision or disclosure, no intervention in matters

Wednesday, November 20, 2019

Business Plan for Great Barrier Reef Sponge Farm Case Study

Business Plan for Great Barrier Reef Sponge Farm - Case Study Example Based on feasibility studies, the business has targeted two premises, one to be used as its administrative office and the other as its factory location. Rents in the administrative block stand at $15,000 per annum while rents at the factory stand at $16,000 amounting to a total of $31,000 per annum. Initial funding for the project is expected to be $100,000. Of this amount, the principal shareholder has contributed 40%, that is, $40,000 while a bank lone of $60,000 has been secured to cover the remaining 60% of the funding requirements. The proprietor placed his three apartments flat as collateral security for the loan. Sales for the first year are expected to amount to $500,000 and are expected to grow at an annual rate of 10%. Gross profit is expected to be $100,000 against which expenses for rents, depreciation of factory equipment, wages and salaries, overhead expenses and miscellaneous expenses will be charged. Expenses during the second, third, fourth and fifth year are expected to witness increases as the company plans to increase expenditure on advertising, research and development, staff, and office and factory equipment. Constant growth is expected to come from an aggressive marketing strategy that will be adopted by the company. The company also expects to develop a good reputation through the supply of high quality products as well as good customer services. The company will also do everything necessary to protect the environment it which it operates such as improving its waste management activities as well becoming ISO1400 certified. Mission Statement. The mission of Reef Sponge Farm Cairn-Australia is to provide its customers with high quality sponges and to maintain a high reputation in the sponge industry in Cairns and Australia as a whole. Overview SWOT Analysis SWOT analysis refers to the strengths, weaknesses threats and opportunities. Strengths include such things as technical competence of proprietors, enough financial resources, good network of contacts for potential clients, suppliers and target market. Weaknesses include lack of management skills, no business track record, and no current plan for management succession in the short-term. Opportunities include rapidly growing market, poor reputation of existing businesses, large number of old yet valuable homes, availability of casual staff and tradespersons, availability of display and manufacturing premises within the area, high disposable income within the target market, potential for future expansion of the business. Threats include poor reputation of the industry, potential for economic downturn, natural disasters and catastrophes, wars, existence of competitors rising cost of raw materials, rising cost of real wages, government regulation. As far as Great Barrier Reef Sponge Farm is concerned, the main strengths of the company include the presence of scientists with experience in sponge products who have sound technical basis in solving production problems as they arise and in proposing innovative strategies for growth. The company has also has a good management with knowledge of both financial, managerial and marketing skills which makes it possible for it to overcome management problems and thus increases its ability to succeed in the industry. Some of the weaknesses of

Monday, November 18, 2019

Human resources employment law for business Essay

Human resources employment law for business - Essay Example Franklin, a U.S. born individual of English ancestry, works for the China Lights restaurant, which is owned and operated by two U.S. citizens of Chinese ancestry. Franklins coworkers Jin Pan and Dongping Jiang, also U.S. citizens of Chinese ancestry, are late for work virtually every day, but no action is taken against them for this, even though the owners are aware of Jin and Dongpings tardiness, and even though there is a stated workplace policy that an employee reporting to work late, more than once in a sixty day period will be dismissed. Franklin reports to work late twice, 55 days apart, and he is dismissed. Explain whether Franklin has the basis for a national origin discrimination claim. Franklin does have basis for a National Origin Discrimination claim, but it might not be easy. Proof of misconduct would have to be documented. If Jin and Dongping’s tardiness was not recorded, it would be Franklin’s word against the company and Jin and Dongping’s word. If documentation exists on Franklin’s tardiness that could be used to prove that Franklin would have been fired despite Jin and Dongping. Franklin would have had a better case if he had started documenting the tardiness before being fired. It would have also been a better case if he would not have been tardy for two days in a fifty-five day period. Courts like plaintiffs with clean hands. Theoretically the case could be brought, but if not settled out of court, the case might not succeed. Title VII deals with the discrimination against employees based on race, religion, gender, and so forth. IRCA deals with the hiring of illegal immigrants. It is harder to prove discrimination on race, religion, or gender. Title VII must be proven in court through testimony and documentation. IRCA discrimination can be proven through citizenship documentation. If an employer will not hire because of the IRCA law, than the U.S.

Friday, November 15, 2019

The History And Origins Of Conference Industry

The History And Origins Of Conference Industry This chapter assumes a literature review of the conference industry. It begins by establishing the scene of conference through the history and origins of industry, and a reflection about industry structure. Furthermore a review the industry growth is taken into consideration. It follows with a close examination of conference impacts such as economic, environmental, technological, social and cultural, also a consideration on employment generation. Finally, it analysis the future challenges of the conference industry. 2.2 The history and origins of Conference Industry Conference has been existed for a long time as there have been people, the meeting has been happening. Researches and investigations of ancient cultures, archaeologists have found evidences of primitive ruins that has been used by people to meet and to discuss interests, or either celebrations (Spiller, 2002 p. 3). A launch event of contemporary conference was held from June 1814 to September 1814, called Congress the Vienna. The purpose of Congress de Vienna was to establish the territorial divisions of Europe at the end of the Napoleonic Wars, and representatives included all of the major world powers of the day (Rogers, 2008; Davidson and Cope, 2003). Industrialisation spread throughout the Western Europe and America during the late nineteenth and early twentieth. The development of industry and commerce increases the need of meeting between businesspeople and professionals, aimed to discuss and exchange ideas (Spiller, 2002 p. 5-6). The origin of the conference industry is very recent, hardly 50 years of age in North America and Europe, in addition in the most rest of the world still very younger. However, conference and meetings of people have happened since early days of civilisation progress (Rogers, 2003). Nowadays, conference sector is believed to be one of the most lucrative and attractive sector of tourism industry, despite partly to the high economic benefits for the hosting community (Crouch and Louviere, 2004). The conference sector of the business industry is valued in a hundreds of billions of pounds per year on a global scale (Rogers, 2003). Since earlier 60s, conference sector has been supported by investments received in the whole infrastructure, helping to a steadily growth during the 90s, which was a decade with one of the highest sustained investments recorded. Even if the industry is maturing fast, due to its vigorous, a lack of some necessary description needs to be more established, such as appropriate training and education structure, and well-defined terminology. The conference industry has to address these weakness to claim a deserve position (Rogers, 2003). 2.3 The Suppliers In response to an extensive and diverse demand for meetings and conferences of all kinds, suppliers have to offer a wide variety of services, facilities and infrastructures to attend the great variety of events (Davidson and Cope, 2003). These have augmented in diversity and quantity, at the same speed the industry has grown over the past 50 years (Rogers, 2003). However, quite few of these suppliers are committed to the conference industry only (Rogers, 2003; Leask and Spiller, 2002). Rogers (2003) has separated the industrys supply into three leading type of venue as subsequent. 2.3.1 The Venues Venues are the places where business tourism events take place, in theory almost any type of building could be promoted as a conference venue (Swarbrooke and Horner, 2001). Additionally in Britain there are over 3500 venues supported as suitable for meetings and conferences (Rogers 2008). However, according to Leask and Spiller (2002), for venues develop an input of the conference industry, they should have certain characteristics, such as offers a purpose-built facilities that present multiple usages, flexibility in their design and having suitable lighting system and breakout space. Nevertheless, Rogers, 1998 and Leask and Spiller, 2002 emphasis that many venues such as hotels, academic venue and unusual venues do not focus on the conference segment entirely. The figure below represents an analysis of the different types of conference venues in the UK. Figure 2.1 Analysis of the UKs conference venues and type Source: Adapted from British Association of Conference Destinations (BACD) in Rogers, 2008. 2.3.1.1 Hotels Despite the increase of many different forms of venue, hotels are predominantly vital to the corporate market sector, creating around two-thirds of all conference venues (Rogers, 2003; Davidson and Cope, 2003). The advantages of holding an event in a hotel are that guests can easily walk to the meeting rooms, which costs for transportation can be avoided (Allen, 2000). A vast range of hotels can both offer accommodation and quite a few conference and meeting-style facilities (McCabe et al., 2000). Rogers (2003) come across that hotel represents two third of all conference venues, being mainly significant to the corporate market sector and the main types of hotel active in the conference market are showed in the table below. Table 2.1 Main types of hotel active in the conference market Hotel Characteristics Central business district hotels A hotel located in the central business district of the town tends to be business-oriented, provides quality conference and meeting facilities and capable to handle corporate business. Additionally, hotels located close to large conference centres are also able to provide delegate accommodation whilst major conferences are hold. For several companies, the central location of venues is very attractive, as they comprise an effortlessly access to business offices, restaurants and entertainment. Resort hotels These types of hotels are liable to be popular for the reason that they are situated in advantageous locations with both recreational and sporting facilities in close proximity, therefore to provide an opportunity for delegates to include extra pre-and- post conference activities. In many resort hotels, the conference sector recompense the seasonality of the leisure tourism, and is acknowledged as a high-spend and high-yield business. Airport hotels Airport hotels have the prospective contribution of an additional time-saving advantage, were originally most has been built to lodge clients staying for a night, who those having a stop before, after, or in between flights. However, many companies are increasingly use them as a cost-effective way of provide a meeting for delegates travelling from between state. Also airport hotels are growing in popularity for the reason that many people are using low-cost airlines. Despite from the benefits of competitive price, convenience, and location they also provide excellent choices of meetings and conference rooms and supporting business services. Source: Adapted from McCabe et al., 2000; Rogers, 2008; Davidson, 1994; Lawson, 2000; Gosling, 2003. 2.3.1.3 Purpose-built conference centres Purpose-built conference centres can be residential and non-residential, usually provides designed areas to host meetings and conferences of large numbers of people, sometimes including an exhibition. In additionally, they normally provide halls with appropriate infrastructure to hold exhibitions and trade shows, some large rooms for plenary sessions, variety of meeting rooms, breakout areas, banqueting facilities, a business centre, offices and administration space. They also provide catering facilities simultaneously with a trained professional meetings and conference team to hold the event (McCabe et al., 2000; Davidson and Cope, 2003). Furthermore, it is argued that the future for purpose conference venues is bright (Whitfield 2007; Lau et al., 2005; Litvin, 2003), in addition, a conference venue plays an important responsibility in recovering the destinations economy as well as recuperating its neglected areas (Lawson, 2000; Laslo and Judd, 2004; McNeill and Evans, 2004; Clark, 2004; Fenich, 1992). It become visible the reason why many destinations around the world are investing in the expansion or development of their convention facilities (Laslo and Judd, 2004), and it is identify that the conference industry offers a variety of opportunities at all possible levels, national, as well as organisational or individual (Getz 2005). 2.3.1.4 Academic and civic venues An increase number of academic venues, such as universities, colleges and public schools, which are investing in the construction of quality conference facilities and accommodations, are available throughout the year during the students holiday, (Walker, 2004; Rogers, 2008). Although Rogers (2008) complete saying that many of those accommodations are equivalent to considerable 3-star hotel standards. As can be seen in McCabe et al. (2000) the cost of accommodation in academics venues are liable to be inferior than in hotels, and consequently they tend to be mostly attractive to some non-profit organisations and associations that have limited budgets. In many places civic venues include council chambers and committee rooms, town halls and other civic facilities are also available for external hire (Rogers, 2003). In UK, academic venues particularly universities are playing a considerable responsibility in both responding and stimulating to the growth of the conference and meetings market, despite the fact that earning income for educational establishments (Davidson and Cope, 2003). 2.3.1.5 Unusual venues Unusual venues have been characterized as involving an ample range of facilities that are used for conference and meetings, including art galleries, museums, historical houses (Leask and Hood, 2000 in Davidson and Cope, 2003). In additional, cultural and entertainment venues, such as theatres, sporting venues, television studios; tourist attractions, such as historical sites, theme parks, castles and heritage centres as well as transport venues, including cruise ships, ferries, steam trains and canal barges can also be included as an unusual venue (Rogers, 2003). The attraction of those venues is that they can provide an event with a special appeal, which can create it memorable experience for delegates. Although some venues have high-quality conference and meeting facilities, others can be more limited in this aspect, however the setting in which the event is being organized tends to recompense for such limitation (Rogers, 2008; Davidson and Cope, 2003). As far as most of venue types has been highlighted. The table below compare the advantages and disadvantages of those venues. Different factors regards as the conference and meetings been hold in a high quality from the corporate sectors point of view and better value for money from the associations points. 3.1 Advantages and disadvantages of venues Type of venue Advantages Disadvantages Hotels Everything under on roof All inclusive quotes Airport hotel: time saving Mixing leisure and business guest Can appear to frivolous Unsuitable for large events Lack of flexibility with syndicate rooms, etc. Purpose built-conference centres Space for large events Extensive range of technology available, plus technical know-how Many offer exhibition space May not always be suitable for the growing number of smaller events No on-site accommodation Universities Good value for money Learning ambience Everything on site Ancient/modern styles Range of sizes of meeting rooms Lack of comfort and facilities May be limited to holiday periods Large sites problems of orientation between buildings Unusual venues Memorable, novelty value Cruise ships: all-in prices Limited by design restrictions due to primary function Unlike to be used several times by same client novelty value fades No on-site accommodations Source: Davidson and Cope, 2003 2.4 The Growth of conference industry The industry has experienced outstanding growth from 1960s due to a number of features from the demand and supplier sides. Regards a larger demand for conferences and meetings, various specific aspects has contributed to the industry development. Such as the growth of multinational corporations, expansion of government and quasi-governmental organization has brought the need for meetings in a public and private sector (Spiller, 2002 p. 5-6; Lawson, 2000; Davidson and Rogers, 2006). The conference industry is growing and maturing very fast, it is youthful and vibrant. In America and Europe it is hardly 50 years old and even younger in the most part of the world. Nowadays the industry itself claims to be the worlds largest, helped with international investments in large scale infrastructure projects have been undertaken all through Asia and Pacific, East European countries such as Czech Republic and Hungary, in a number of African countries, in the Middle East (Rogers, 2008). The growth of the industry is demonstrated in Rogers (2008), the evaluation of the industrys major trade shows, which is held in Barcelona. The European Incentive and Business Travel and Meeting Exhibition (EIBTM) shows that in 1988, 54 countries were represented as exhibitors, the exhibition was held in Geneva; in 2005 the numbers has doubled to 95 countries held in Barcelona. Although, the number of visitors in the same period increased from 2850 in 1988 to 5689 in 2005. 2.5 Impacts of conference events Positive and negative impacts can be generated by the conference industry. The conference sector has been generally accepted for it is high-yield, year-round market and the possibility of gathered substantial economic gains that characterize the main motivation for many destinations to follow the conference market (Davidson and Rogers, 2006). Employment Generation Stimulation of Investment Contribution to Government Revenue Foreign Exchange Earnings Positive ImpactsAccording to McCabe et all (2000) the conference sector is an important generator of tourism expenditure, foreign exchange earnings, investment and employment. The figures below show the positive and the negative impacts of the conference industry. Figure 2.1 Positive impacts of the conference industry Source: Adapted from Davidson and Rogers, 2006 The figure above reviews some of positive impacts that conference industry can generate to the community development. In additionally, it can be see that conference sector is well accepted for a high-yield year around market boosting substantial economic gains (Davidson and Rogers, 2006). However, while the positive impacts of conference are normally noticeable and progressively more claimed by the conference industry itself, a number of unfavourable effects related to hidden cost of developing and operating conference industry and affects the host community (Rogers, 2008). The diagram below represents the negative impacts of the conference industry. Negative Impacts Infrastructure Costs Promotional Costs LeakageFigure 2.2 Negative impacts of the conference industry Source: Source: Adapted from Davidson and Rogers, 2006 2.5.1 Economic impacts The conference industry has been considered as the healthiest and well growth-orientated segment of the tourism industry. Business people and professional travel all throughout the year to attend conferences and meetings, affecting considerably in particularly tourism and hospitality industry. The reason is the need of those participants to meet, eat and sleep. However, many other direct impacts can be seen, such as cultural and sporting activities place, tourism attractions, restaurants, local shops and transport facilities (McCabe et all, 2000). The conference market is critically in nature and vulnerable to change in the business environment. The current slow-down in the global economy and recession can decrease numbers of conference and meeting activity (Weber and Chon, 2002). 2.5.2 Environmental impacts The value of the environment is vital to the successful performance of the conference and business industry (Rogers 2008). Constructive environmental impacts at basic levels, towns and cities hosting conferences need to ensure that the physical environment is maintained in a clean, tidy and healthy condition. Delegates will be expecting to find conference localities at least clean and attractive, and this is particularly when there is a motivational component to the conference (Davison and Rogers 2006). Davison and Cope (2003) say that customer concern in excess of possible and actual unconstructive impacts of mass tourism ahead the natural, built and human environments of purpose is achieving importance. Business Travel have an effect on towns and cities where conventions and exhibitions take place, open the citys potential for professional and business location and development. These are the causes why almost all big cities have situated convention centres in close combination to a high-amenity, creating a good impression to delegates. However, awareness groups are placing increasing force for conference industry to bring in more environmental consciousness. Moreover, Swarbrooke and Honer (2001) say that there are important certifies that conventions and exhibitions centres are functioning in an environmentally friendly approach, and supporting environmental schemes. 2.5.3 Technological impacts The future of the conference industry has a midpoint on the technology issues; the concern is if the advantage technology such as videoconferencing, virtual trade shows and webcasting will replace the need of face-to-face meetings (Weber and Chon, 2002). However studies suggest that has been a slow reluctance to establish state-of-the-arte technologies, simply because it often comes without adequate training staff and suitable backup support by the IT providers in difficult circumstances (Weber and Ladkin, 2001 in Weber and Chon, 2002). Thus, according to McCabe et al. (2000), the significant communication services that are available to organisers and participants of conference events are showed in the table below. Table 2.2 Communication services SERVICE CARACTERISTICS videoconferencing an electronic medium that transmits the picture of the speaker, product, or explanatory graphics teleconferencing enables sharing of ideas in real time with enhanced audio and graphics electronic data transfer allows transfer of large amounts of data between computers separated by long distances Facsimile enables quick and accurate transmission of large documents virtual exhibitions computer simulations and human computer interfacing, this takes place through a combination of visual, audio and kinetic effects Source: Adapted from McCabe et al., 2000; Medlik, 2003; Rogers, 2008. Furthermore, it is clear that information technology (IT) can be generate massive benefit for those who operating function of conference organiser and the conference venue itself, also can be noticed at operational, tactical and strategic level, Consequently, it appear that the technology, predominantly the Internet, have substituted the traditional conference diaries or filing and paper trail systems (McCabe et al., 2000). 2.5.4 Social and cultural impacts Different generation are emerging into the conference industry, those who having grow up and spending much time on the PC and using email. They are bringing very different approach to communication and require a different learning style (Weber and Chon, 2002). Another issue related to social impacts are the trend toward an aging population. An increase number of people are chosen to retired early; also many of those may decide to engage in associations (Weber and Chon, 2002). 2.5.5 Employment The industry creates an increase level of business and improvement of employment opportunities. It is seen as an attractive employment area for those who may become employees for the first time or a looking for a carrier change. It is view as dynamic industry and one that offer many career opportunities and the expectation for fast career development. The industry is responsible for a significant part of the jobs found in the transport and hotels sector, such as specialist conference professions related to the suppliers (McCabe et all, 2000; Davidson and Rogers, 2006). However the industry is not resistant to the high staff turnover and shortages in labour supply found within the tourism and hospitality industry (McCabe et all, 2000). Fenich (2005) claims the employment benefits of conference industry can stimulate construction or renovations of hotels, restaurants, retail units and entertainment facilities. Because of the stimulus a range of skilled and unskilled job opportunities are created For example, these would include meeting planners and marketers, hotel and convention sales, and promotion staff, secretarial and business services, catering staff, retail clerks, taxi drivers and security staff etc. The impact of employment may vary between cities, town and countries due to the structure of the economy. 2.6 The future of the conference industry Predictably, many people outside and inside the conference industry attempt to forecast the industry growth, and whether in the years it will experience growth or decline, even through many issues can be come across due to unpredicted circumstance those can affect conference industry (Rogers, 2008; Swarbrooke and Horner, 2001). The present slow-down in the global economy and recession has the potential to diminish conference and meetings activity in the future. Many others factors impact the current growth and health development of the segment such as social, economic, technological and environmental trends (Rogers, 2008; Weber and Chon, 2002). 2.6.2 Social trends In terms of social trends, changes happen into the work population, including an increasing number of womens conference delegates, older delegates or coming from diverse cultural, ethnic and religious backgrounds. Additionally, many employers are developing a wide range of work-life options, for example tele-working or taking portfolio careers (Rogers and Davidson, 2006) Different generation are emerging into the conference industry, those who having grow up and spending much time on the PC and using email. They are bringing very different approach to communication and require a different learning style. Another issue related to social impacts are the trend toward an aging population. An increase number of people are chosen to retired early; also many of those may decide to engage in associations. All these social trends are going to have several implications for the conference industry (Weber and Chon, 2002; Rogers and Davidson, 2006). 2.6.3 Economic trends Despite on-going divergences and continuous intimidation of terrorist attacks worldwide, the global economy should continue to recover over the next five years, which is excellent news for the conference industry as it clearly depends on the worldwide economic situation (Davidson, 2004). In addition, the economies of Central Europe maintain expanding; Western European countries will fairly certainly experience an augment in business travel from the new EU member countries (Rogers, 2008). The expenditure on business travel and tourism in Europe, according to the World Travel Tourism Council reached $190 billion in 2003, representing 39%of the worldwide total of $488.8 billion. Although, is expecting an increase spending on business travel in Europe by approximately 75% over the next 10 years, reaching by 2013 roughly $ 330 billion (Mintel, 2003). 2.6.4 Technological trends The 21st century is involved especially about Information and Communications Technology (ICT) Buhalis (2008). Technological trends will continue to develop at the remarkable speed. It will contribute to the industry offering important prospective and benefits to buyers, suppliers and intermediaries (Rogers, 2008) However, the industry has been using ICT for many years, with e-mail and the Internet. Conferences organisers can take advantage to reach potential delegates by using email addresses or to set a web site related to the event, conference or exhibition. Nowadays, registration for various events can be possible done on-line, permitting the organisers to be and keep the web information up-to-date, also contact any delegate by their email addresses (Davidson et al, 2002; Buhalis, 2008). By the end of this decade, the conscientious for cost saving and efficiency in distribution will affect the industry (Davidson and Rogers 2006). The preferred distribution channel for making reservations, check in, registration to a conference also many other forms of business travel will be done by the internet (Cline, 2001). A report from IBM business consulting service, forecasted that on-line travel bookings would roughly double between 2004 and 2007 (OÂ ´Connor and Piccoli, 2003). The future of the conference industry has a midpoint on the technology issues; the concern is if the advantage technology such as videoconferencing, virtual trade shows and webcasting will replace the need of face-to-face meetings. However studies suggest that has been a slow reluctance to establish state-of-the-arte technologies, simply because it often comes without adequate training staff and suitable backup support by the IT providers in difficult circumstances (Weber and Chon, 2002; Weber and Ladkin, 2002). 6.4.5 Environmental trends The value of the environment is vital to the successful performance of the conference and business industry (Rogers 2008). Constructive environmental impacts at basic levels, towns and cities hosting conferences need to ensure that the physical environment is maintained in a clean, tidy and healthy condition. Delegates will be expecting to find conference localities at least clean and attractive, and this is particularly when there is a motivational component to the conference (Davison and Rogers 2006). Firstly, considering the damage of environmental issues like global warming, carbon emissions and others cause to the planet. Swarbrooke and Horner (2001) criticized negative impact on the environment, particularly in terms of transport sector. For example, pollution and fuel costs of air travel and the use of private car to take the business traveller from one destination to another. Regarding International legislation, airlines have already done a lot to reduce their environmental impacts. Davison and Cope (2003) argument saying it is obvious that the majority international business journeys are made by air, the extremely polluting form of transportation. Aviation is identified to be the highest increasing source of greenhouse gas emissions and key donor to climate change. They also criticize the police of aircraft and aviation fuel an airline tickets are zero rated for value-added tax (VAT), this means that society contribute is subsiding air transport. It should be discuss how those issues are becoming usual worries and challenges inside conference and convention industry (Rogers, 2008). Cassar (1995) mention the environmental concern will continues indoors the conference venues. It is essentially how about venues can congregate their responsibilities to anxiety for conferences and exhibitions. The positive environmental impacts generate the desires for municipalities to preserve eminence of their built and natural environment, the conference industry in addition has the potential to produce beneficial results on the environment of destination by contributing to environmental development and conservation. The conference industry has as well added large appraise to urban conservations programme, particularly during the replacing into conference centres of buildings that perhaps have been destroyed. Innumerable examples of architecturally precious buildings have been saved by their renovation into conference amenities (Davison and Rogers 2006).

Wednesday, November 13, 2019

The Blank Slate of Frankenstein’s Mind :: Frankenstein Essays Brain Locke Papers

The philosophical root of Frankenstein seems to be the empiricist theory first promoted by John Locke in An Essay Concerning Human Understanding. In that essay, the mind is concieved as beginning as a blank slate or tabula rasa, upon which the various impressions gained by the outside world shape the personality. According to this strict empiricism, the mind contains no innate basis for the basic prerequisites for human socialization: a social code and/or morality with empathetic roots. As a result of the monster's isolation, he is unable to sympathize with human beings and loses respect for other intelligent life. Even though the monster has good intentions, his beneficence is subverted by the negative and anti-social reactions he receives from the people he encounters. The most blatent passages in support of the tabula rasa can be found in the monster's account of the impressions of his early life at the beginning of Chapter IX (pg 70 Dover Edition). The relevant portion starts at the beginning of the chapter, but the passage of most interest is reproduced below: "Several changes of day and night passed, and the orb of night had greatly lessened, when I began to distinguish my sensations from each other. I gradually saw plainly the clear stream that supplied me with drink, and the trees that shaded me with their foliage. I was delighted when I first discovered that a pleasant sound, which often saluted my ears, proceeded from the throats of the little winged animals who had often intercepted the light from my eyes. I began also to observe, with greater accuracy, the forms that surrounded me, and the boundaries of the radient roof of light which canopied me. Sometimes I tried to imitate the pleasant sounds of the birds, but was unable. Sometimes I wished to express my sensations in my own mode, but the uncouth and inarticulate sounds which broke from me frightened me back into silence." While this account is probably a poor model of how an actual entity would behave upon being thrust into a brand new world of sensations with sufficient cognitive apparati to comprehend the impressions (categories and systemization are utilized almost immediately, although there would be no reason for the monster to arrange things in this way, "light from my eyes" is a physical principal [an incorrect one at that] and would not likely be used in a naive description. The Blank Slate of Frankenstein’s Mind :: Frankenstein Essays Brain Locke Papers The philosophical root of Frankenstein seems to be the empiricist theory first promoted by John Locke in An Essay Concerning Human Understanding. In that essay, the mind is concieved as beginning as a blank slate or tabula rasa, upon which the various impressions gained by the outside world shape the personality. According to this strict empiricism, the mind contains no innate basis for the basic prerequisites for human socialization: a social code and/or morality with empathetic roots. As a result of the monster's isolation, he is unable to sympathize with human beings and loses respect for other intelligent life. Even though the monster has good intentions, his beneficence is subverted by the negative and anti-social reactions he receives from the people he encounters. The most blatent passages in support of the tabula rasa can be found in the monster's account of the impressions of his early life at the beginning of Chapter IX (pg 70 Dover Edition). The relevant portion starts at the beginning of the chapter, but the passage of most interest is reproduced below: "Several changes of day and night passed, and the orb of night had greatly lessened, when I began to distinguish my sensations from each other. I gradually saw plainly the clear stream that supplied me with drink, and the trees that shaded me with their foliage. I was delighted when I first discovered that a pleasant sound, which often saluted my ears, proceeded from the throats of the little winged animals who had often intercepted the light from my eyes. I began also to observe, with greater accuracy, the forms that surrounded me, and the boundaries of the radient roof of light which canopied me. Sometimes I tried to imitate the pleasant sounds of the birds, but was unable. Sometimes I wished to express my sensations in my own mode, but the uncouth and inarticulate sounds which broke from me frightened me back into silence." While this account is probably a poor model of how an actual entity would behave upon being thrust into a brand new world of sensations with sufficient cognitive apparati to comprehend the impressions (categories and systemization are utilized almost immediately, although there would be no reason for the monster to arrange things in this way, "light from my eyes" is a physical principal [an incorrect one at that] and would not likely be used in a naive description.

Sunday, November 10, 2019

Historical Recount: Marco Polo and His Voyage to China Essay

In 13th and 14th centuries, many people believed that Marco polo and his family have been one of the first Europeans to visit China with a famous book The Travels of Marco Polo that had been written by a writer called Rustichello. The most appealing thing about Marco Polo is that Marco and his father were not explores. Marco Polo was born in 1254 in Venice, Italy. He grew into a wealthy merchant family and had an education, which would have prepared him for a career in business. Marco learned basic literacy skills, arithmetic, book- keeping, and the basic theology of the Latin Church. He also had an intimate knowledge of French and Italian. In 1260, Marco Polo’s father and uncle, Nicolo and Maffeo Polo traded regularly with Orient. They had spent a lot of time in Constantinople, Crimea and around the Balkans. When Marco was six years old, his father and uncle set out on their trip to Far East. In 1265, they arrived at the court of Kublai Khan, the Mongol emperor who ruled over two thirds of Asia and asked them to bring 100 European priests to his court. In 1269, Nicolo and Maffeo polo returned to Venice, and they had known that Marco’s mother had died while they were on their journey. In 1271, Marco Polo joined his father and uncle’s another journey east. They passed through Armenia, Persia, Afghanistan and along the Silk Road to China. After three years, the Polos reached China. In this time, Marco’ father introduced him to Kublai Khan and certainly, the King was thoroughly engrossed in Marco’s knowledge and his behavior. So that, Marco family had got important positions at the king’s court. The Polos stayed in Kublai Khan’ court for 17 years. They had much of gold and jewels but they always worried about returning Venice. Marco Polo feared that if Kublai Khan died, he would not get his property out of the country because Kublai Khan was in late seventies. Finally, in 1292 Kublai Khan allowed Polos to come home on one condition that they accompanied Princess Kokachin whose Kublai Khanâ€⠄¢s daughter and her wedding party to Persia. After two years, the Polos arrived in Persia before continuing their journey home. In 1295, Marco Polo arrived Venice where was currently at war with Genoa. Marco was commander of a Venetian galley in the war against Genoa. After that, his ship was destroyed, so Marco was taken as a prisoner of war by the Genoese. For one year in prison, he met a writer called Rustichello of Pisa; Marco related clearly to him stories of Marco’s travels and experiences in China,  which then became a book The Travel of Marco Polo. In the summer of 1299, Marco Polo was released from prison in Genoa and returned home in Venice where he had been keeping doing business. In 1300, he married Donata Badoer and together they have three daughters. Marco Polo lived in Venice until he died of old age in 1324 at 70 of age. Although Marco Polo and his family were not the first Europeans to reach China by land, some of information in his book is a geographical reference in Asia, and it becomes useful experiences with many explorers for centuries later. The book also includes understanding about the Silk Road and Far East’s culture.

Friday, November 8, 2019

Joshua L. Chamberlain in the American Civil War

Joshua L. Chamberlain in the American Civil War Birth Early Life: Born in Brewer, ME on September 8, 1828, Joshua Lawrence Chamberlain was the son of Joshua Chamberlain and Sarah Dupee Brastow. The oldest of five children, his father desired that he pursue a career in the military while his mother encouraged him to become a preacher. A gifted student, he taught himself Greek and Latin in order to attend Bowdoin College in 1848. While at Bowdoin he met Harriet Beecher Stowe, the wife of Professor Calvin Ellis Stowe, and listened to readings of what would become Uncle Toms Cabin. After graduating in 1852, Chamberlain studied for three years at the Bangor Theological Seminary before returning to Bowdoin to teach. Serving as a professor of rhetoric, Chamberlain taught every subject with the exception of science and math. Personal Life: In 1855, Chamberlain married Frances (Fanny) Caroline Adams (1825-1905). The daughter of local clergyman, Fanny had five children with Chamberlain three of which died in infancy and two, Grace and Harold, which survived to adulthood. Following the end of the Civil War, the Chamberlains relationship became increasingly strained as Joshua had difficulty readjusting to civilian life. This was exacerbated by his election as Governor of Maine in 1866 which necessitated him being away from home for long periods.   Despite these problems, the two reconciled and remained together until her death in 1905. As Fanny aged, her sight deteriorated, leading Chamberlain to become a founding member of the Maine Institution of the Blind in 1905. Entering the Army: With the beginning of the Civil War, Chamberlain, whose forefathers had served in the American Revolution and War of 1812, sought to enlist. He was prevented from doing so by the administration at Bowdoin who stated he was too valuable to lose. In 1862, Chamberlain requested and was granted a leave of absence to study languages in Europe. Departing Bowdoin, he quickly volunteered his services to the governor of Maine, Israel Washburn, Jr. Offered command of the 20th Maine Infantry, Chamberlain declined stating he wished to learn the trade first and instead became the regiments lieutenant colonel on August 8, 1862. He was joined in the 20th Maine by his younger brother, Thomas D. Chamberlain. Serving under Colonel Adelbert Ames, Chamberlain and the 20th Maine mustered in on August 20, 1862. Assigned to the 1st Division (Major General George W. Morell), V Corps (Major General Fitz John Porter) of Major General George B. McClellans Army of the Potomac, the 20th Maine served at the Antietam, but was held in reserve and did not see action. Later that fall, the regiment was part of the attack on Maryes Heights during the Battle of Fredericksburg. Though the regiment suffered relatively light casualties, Chamberlain was forced to spend the night on the cold battlefield using corpses for protection against Confederate fire. Escaping, the regiment missed the fight at Chancellorsville the following May due to a smallpox outbreak. As a result, they were posted to guard duty in the rear. Gettysburg: Shortly after Chancellorsville, Ames was promoted brigade command in Major General Oliver O. Howards XI Corps, and Chamberlain ascended to command of the 20th Maine. On July 2, 1863, the regiment entered action at Gettysburg. Assigned to hold Little Round Top on the extreme left of the Union line, the 20th Maine was tasked with ensuring the Army of the Potomacs position was not flanked. Late in the afternoon, Chamberlains men came under attack from Colonel William C. Oates 15th Alabama. Repelling multiple Confederate assaults, he continued to extend and refuse (bend back) his line to prevent the Alabamans from turning his flank.   With his line nearly bent back upon itself and his men running low on ammunition, Chamberlain boldly ordered a bayonet charge which routed and captured many of the Confederates. Chamberlains heroic defense of the hill earned him the Congressional Medal of Honor and the regiment everlasting fame. Overland Campaign Petersburg: Following Gettysburg, Chamberlain assumed command of the 20th Maines brigade and led this force during the Bristoe Campaign that fall.   Falling ill with malaria, he was suspended from duty in November and sent home to recover. Returning to the Army of the Potomac in April 1864, Chamberlain was promoted to back brigade command in June after the Battles of the Wilderness, Spotsylvania Court House, and Cold Harbor. On June 18, while leading his men during an attack on Petersburg, he was shot through the right hip and groin. Supporting himself on his sword, he encouraged his men on before collapsing. Believing the wound to be fatal, Lt. Gen. Ulysses S. Grant promoted Chamberlain to brigadier general as a final act. Over the following weeks, Chamberlain clung to life and managed to recover from his wounds after undergoing an operation by the 20th Maines surgeon, Dr. Abner Shaw, and Dr. Morris W. Townsend of the 44th New York. Returning to duty in November 1864, Chamberlain served for the remainder of the war. On March 29, 1865, his brigade led the Union attack at the Battle of Lewis Farm outside Petersburg. Wounded again, Chamberlain was brevetted to major general for his gallantry. On April 9, Chamberlain was alerted to the Confederates desire to surrender. The next day he was told by V Corps commander Major General Charles Griffin that of all the officers in the Union army, he had been selected to receive the Confederate surrender. On April 12, Chamberlain presided over the ceremony and ordered his men to attention and carry arms as a sign of respect for their vanquished foe. Postwar Career: Leaving the army, Chamberlain returned home to Maine and served as the states governor for four years. Stepping down in 1871, he was appointed to the presidency of Bowdoin. Over the next twelve years he revolutionized the schools curriculum and updated its facilities. Forced to retire in 1883, due to aggravation of his war wounds, Chamberlain remained active in public life, the Grand Army of the Republic, and in planning events for veterans. In 1898, he volunteered for service in the Spanish-American War and was bitterly disappointed when his request was turned down. On February 24, 1914, the Lion of Little Round Top died at the age of 85 in Portland, ME. His death was largely the result of complications of his wounds, making him the last Civil War veteran to die from wounds received in battle.

Wednesday, November 6, 2019

The Wind Tapped Like a Tired Man by Emily Dickinson

The Wind Tapped Like a Tired Man by Emily Dickinson The enigmatic Emily Dickinson (1830-1886) saw only ten of her poems published while she was alive. Most of her work, more than 1,000 poems with their odd capitalization, liberal use of em dashes and iambic pentameter rhyming structure, was published after her death. But her works have helped to shape modern poetry. Life of Emily Dickinson Born in Amherst, Massachusetts, Dickinson was a reclusive figure, who took to wearing all white clothing and stayed confined to her home later in life. Whether she was eccentric or suffering from some kind of anxiety disorder is a matter hotly debated among Dickinson scholars. She did not live her entire life at her familys Amherst home; she spent a year at Mount Holyoke Female Seminary but left before completing a degree, and visited Washington, D.C. with her father when he served in Congress.   Dickinsons body of work also included correspondence with friends. Many of these letters contained original poems.   After her death, her sister Lavinia collected Emilys vast collection of writing and attempted to organize it. Although early editors tried to normalize Dickinsons writing, taking out the unusual punctuation and random capitalized words, later versions of her work restored it to its unique glory, em dashes and all.   Emily Dickinsons Poetry With titles like Because I Could Not Stop for Death, and A Narrow Fellow in the Grass, its clear that Dickinsons poetry has a foreboding undertone.  Many academics believe that all of Dickinsons poems can be interpreted to be about death, some overtly, some with more subtle turns of phrase. Indeed, Dickinsons correspondence shows she was troubled by several deaths of people she was close to; a school friend died very young of typhoid fever, another of a brain disorder. Its not outside the realm of possibility that young Emily withdrew from social life because she was deeply affected by her losses. Questions for Study of The Wind Tapped Like a Tired Man Is this an example of a Dickinson poem in where she appears to be writing about one thing (the wind) but is actually writing about something else? In this poem, does the wind represent a man, or does it represent an existential fear of death, ever present and able to blow in and out as it pleases? Why is the man tired? Here is the full text of Emily Dickinsons poem The Wind Tapped Like a Tired Man The wind tapped like a tired man,And like a host, Come in,I boldly answered; entered thenMy residence withinA rapid, footless guest,To offer whom a chairWere as impossible as handA sofa to the air.No bone had he to bind him,His speech was like the pushOf numerous humming-birds at onceFrom a superior bush.His countenance a billow,His fingers, if he pass,Let go a music, as of tunesBlown tremulous in glass.He visited, still flitting;Then, like a timid man,Again he tappedt was flurriedlyAnd I became alone.

Monday, November 4, 2019

Spanking or Creative Parenting Essay Example | Topics and Well Written Essays - 500 words

Spanking or Creative Parenting - Essay Example She didn’t even speak with the little girl. She turned and returned to her cart. The child quickly replaced the doll and maneuvered the stroller back beside the mother as she strode away. I saw a tiny hand reach up to wipe away what I assumed to be a tear from her face. I felt sorry for the child and was left wondering why the mother hit her daughter in this instance. Reflecting on the scene, I have come to the conclusion that what I witnessed was wrong for several reasons. There is almost always a better way to discipline a child than by spanking. One reason spanking in this situation is ineffective parenting is the punishment did not have anything to do with the infraction. The consequence of spanking didn’t really connect the child to the misbehavior. A better technique to use would have been for the mother to get the child’s attention by using her voice. Once she got her attention, then she could have signaled to the girl it was time to go. If the girl didn’t respond, slowly walking away from the child would have sent the message that if you don’t come now you will be left behind. This is naturally motivating for a child because they usually do not want to be separated from a parent. Another reason spanking is not an effective way to discipline children is it models behavior that we wouldn’t want children to repeat. I am sympathetic to the mother in the scenario described. Maybe her daughter was on her last nerve. Maybe the mother wasn’t feeling well or had just lost her job. Regardless of the reason the mother chose to strike her child, the message sent to the child is that when you are upset it is acceptable to lash out at others. She learned that hitting others is a form of communication. It is a way of getting people to do what you want. I think all of us would agree that hitting others is not a great way to communicate. A final reason I feel hitting in this situation was wrong is the lack of

Friday, November 1, 2019

Alvin Plantinga's Free Will Defense Essay Example | Topics and Well Written Essays - 2000 words

Alvin Plantinga's Free Will Defense - Essay Example Platinga demonstrates how theistic belief, about God being omnipotent and wholly good, is logically consistent. Permitting evil means creating a world with moral good, as well as, moral evil. This is an argument that answers the questions raised by different philosophers, or defends itself against some philosophers, with contradictory ideas about the existence of evil and the role of God. In the logical problem of evil, it is indicated that there are different possibilities to the existence of evil. Some of these mentioned are that God: can eliminate evil but he is adamant, wants to eliminate evil but is incapable of eliminating it, does not wish to eliminate evil and cannot eliminate evil, and wants to eliminate evil and can eliminate evil (Zagzebski, p. 146). Platinga gives an argument that creatures are given free will to do moral good and evil, and God had a valid reason for it. This paper is an explanation of Platinga’s argument of ‘free will’. In Platinga’s Free Will Defense, he has made certain definitions and distinctions. Being free is defined with respect to an action. Being free with respect to a certain action means that the individual has the free will to refrain from performing it or to perform it. There are no causal laws or antecedent conditions that predetermine the person’s choice of action. Free will means the person has the power to decide to act or not to act. A second definition or distinction is about the action. An action is morally significant if it is right to perform the action and wrong to refrain from it or vice versa. Significantly free means a person is free with respect to a morally significant action. There is also a distinction between naturally evil and morally evil. Moral evil is that which results from free human activity while natural evil is any other kind of evil (Plantinga, p, 30). Based on these distinctions and definitions, Platinga notes that a world is more valuable when it contains creatures with significant freedom than when it has creatures with no freedom at all. In their freedom, the creatures should be able to perform more good than evil actions. Platinga argues that there is no freedom if people are created with the freedom, but their actions are predetermined by God. According to him, God has the capability of creating creatures that are significantly free, but has chosen to give them the freedom to act on their own always. God cannot cause or determine the creatures to do only what is right. Freedom according to Platinga means being given a choice. A choice has to exist between two or more variables. In this case, the variables are good and evil, or moral good and moral evil. If God creates creatures with free will, but determines what their actions will be, there is no freedom at all. Free will creatures are given the will to choose from moral evil and moral good, and to act according to what they think is right or wrong. His argument, th erefore, is that God cannot create creatures capable of moral good without giving the same creatures the capability of moral evil if they are to have free will. In exercising their freedom, some of God’s creatures went wrong in exercising their freedom. This does not mean that God is not omnipotent and not good. It means that he has given the free will with no determinations of what actions the creatures should engage in (Plantinga, p, 30). Free will defenders believe that or find propositions that are consistent with; God is omnipotent, God is omniscient, and is wholly good. They also believe that alongside the existence of these characteristics of God, there is still evil. God has very good reasons for creating both moral