Sunday, July 12, 2020
Research Paper Outline Examples
Research Paper Outline ExamplesA research paper outline is a key part of your work, and this article will give you an outline example for research paper. It is often the case that students and even many professors are confused by the many different types of outlines. Here we look at three important types of outline examples to help you become familiar with what each one represents.The first type of outline example for research paper outlines the main ideas of the paper in boldface text. You will usually see this used with computer science papers, where the author is going over a mathematical or logical problem or concept. The introduction and conclusion paragraphs are the same in most cases, and most outlines will also have an index. The main idea of the paper is generally placed in the first paragraph of the introduction.The second outline example for research paper can be a bit more varied. Often the outline will include a section that covers a summary of the main points of the pap er. If the student has already worked through the main points, then this section can be taken out if it does not fit.The third outline example for research paper will typically have all the main points of the paper outlined in bulleted form. This is useful for students who have summarised their main points in a document or online presentation, but can also be useful for students who need more space. This type of outline is useful for summarising the main points of a long paper or report.The main purpose of an outline example for research paper is to help you get a better idea of what the outline will look like, and what the paper will look like once the writing is complete. An outline for a paper is not only about the writing style. It can also include ideas and perspectives that students will want to take into account when writing their paper. This is especially true if there are not clear guidelines for what kind of formatting to use.The format that you should use for a research p aper is usually a standard five-column font that is in the 'Times New Roman' format. This means that the first two columns will be the title of the paper, the third column will be the title of the author and the fourth column will have the date that the paper was written. This format is the most common for English language documents.The reason why there is such a wide range of formatting in an outline example for research paper is because each writing style and situation require different formats. Students who are working on more lengthy papers often prefer more formal writing style, whereas those who are writing for a short report may find that they do not need as much detail. It is also important to remember that the outline should be kept concise, although it is important to avoid being too short.The purpose of the outline example for research paper is to give you an idea of what the paper will look like once it is completed. Many times this will consist of just the introduction and conclusion. The purpose of the outline is to give you a good idea of what the paper will look like, and how it should be structured.
Wednesday, May 20, 2020
Oliver Wendell HolmesView On The Relationship Between The...
A substantial debate regarding the lawââ¬â¢s relationship with morality exists within the legal system. This debate gained new perspective when Oliver Wendell Holmes published The Path of Law in 1897. This work outlined Holmesââ¬â¢ view on the relationship between the law and morality. This paper will first consider whether or not Holmes believed that a writing must be moral in order to constitute a law. Next, the paper will explore my general agreement with Holmesââ¬â¢ view on this matter. Then, the paper will consider the best objection to my agreement with Holmes, and reply to that objection. Finally, the paper will end by drawing conclusions from the discussion of the relationship between morality and law. In this paper, I will argue that Holmesâ⬠¦show more contentâ⬠¦These predictions are often guided by past legal decisions (Holmes, 183). This view of the law compliments Holmes view of the purpose of the law, as both are pragmatic approaches. With a solid unders tanding of the nature of law according to Holmes, one may now determine whether or not Holmes viewed morality as a necessary condition for a writing to be considered a law. Based on the nature of the law outlined by Holmes, one can conclude that Holmes did not believe that a writing must be moral in order to constitute a law. As we have seen, the law is nothing more than a mechanism of prediction (Holmes, 184). Moreover, a writing does not have to be grounded in morality in order to be considered a law, it just has to play a role in the prediction mechanism. Holmes goes so far to say that moral language confuses the distinction between morality and law (183). Furthermore, he says that he ââ¬Å"often doubt[s] [whether] it would not be a gain if every word of moral significance could be banished from the law altogetherâ⬠(Holmes, 185). This is in spite of the fact that Holmes notes that the law ââ¬Å"tends to make good citizens and [morally] good menâ⬠(183). Moreover, Holmes also states that the law shows us the history and progression of morality in humans (183). These two facts show that Holmesââ¬â¢ view of the law leaves a role for mora lity to play. More specifically, knowledge of the culturally accepted morality of the day
Wednesday, May 6, 2020
Abstract. Project Management Is An Essential Tool Which
Abstract Project management is an essential tool which benefits businesses. There are numerous positions relating to it, but is it enough to categorize it as a profession? The introduction will provide some essential definition and remind us what is the project management about. Then, I will develop two opposed point of view on this matter, the first one answering negatively and the second one positively to the question asked above. The outlook will be defined progressively by providing some elements required to be a project management practitioner, while keeping in mind the two current of thoughts. Introduction Project management is the discipline of initiating, planning, executing, controlling, and closing the work done by a team toâ⬠¦show more contentâ⬠¦In 2008, the United Kingdomââ¬â¢s Association for Project Management (APM), was denied by the Privy Council for the application of the Royal Chartered status, an act that would recognize project management as a legal profession. This rejection poses a greater problem: Is it really true that project management is a profession that that be compared to teaching or medicine? Are the previously cited organizations biased in their assumptions? When technical people involved as project managers are asked this question, most of them will certainly answer by saying that they might not describe themselves as project managers. For them, project management is a methodology they will use to deliver their projects. A basketball player who is highly competent and earning a living at what most do for a hobby will be entitled as a professional. However, meeting these criteria does not mean than basketball is a profession although such a player might call it his profession, his job. In my opinion this is a false logic, project management is not a profession but a process as it scored less than 34 out of a possible 100 points when assessed against 22 attributes defined by Zwerman and Thomas et al during a study funded in part by PMI and published in 2004. They reached the conclusion that project management is not a profession and will likely not be one in the foreseeable future. To become a profession, one must be able to define and control the body of knowledge. TheShow MoreRelatedPlanning At Different Levels, Project Planning, And The Drawbacks Of Poor Strategic Planning1268 Words à |à 6 Pages Planning Planning within an organization is essential as it is the first of five managerial functions. Simply put, planning includes what an organization should do and how to do it. Without planning a manager may not organize, staff, lead, or control the organization efficiently and effectively. Throughout this paper I would like to discuss strategic planning, planning at different levels, project planning, and the drawbacks of poor strategic planning. According to the textbook strategic planningRead MoreSystem Development Life Cycle1335 Words à |à 6 Pagesof process that is followed in implementing a computer-based information system subsystem. âž ¢ Also known as Systems life cycles, Systems Development Methodology, Project Life Cycle, and Methodology. Participants: âž ¢ Their participation depends on the strategic value of the project. âž ¢ Systems Analyst. âž ¢ Database Administrator. âž ¢ Network Specialist. âž ¢ Programmer âž ¢ Operations Personnel Read MoreSystem Development Life Cycle1351 Words à |à 6 Pagesevolution of process that is followed in implementing a computer-based information system subsystem. âž ¢ Also known as Systems life cycles, Systems Development Methodology, Project Life Cycle, and Methodology. Participants: âž ¢ Their participation depends on the strategic value of the project. âž ¢ Systems Analyst. âž ¢ Database Administrator. âž ¢ Network Specialist. âž ¢ Programmer âž ¢ Operations Personnel Read MoreIntegrated Management Of Projects And Systems990 Words à |à 4 Pages1. Abstract Software Development has progressed far in recent years, with Agile software development methodologies contributing to the success of projects and customer satisfaction. This feasibility study will examine the potential implications involved with implementing the Integrated Management of Projects and Systemsââ¬â¢ (IMPS) system using an Agile method. The system will assist Software Engineers in Communications, Requirements Gathering, Quality Control, and project management. The IMPS systemRead MoreUniversity of Phoenix Alumni1074 Words à |à 5 PagesAnalysis Linmary Bernabe ECO/572 December 10, 2012 Carah Koch Abstract The City of Sanford initiated work on their Parks and Grounds City Project in 2004 with the development of Phase I of said project in an effort to create and build a better community for city residents. In doing so, they have been privy to obtaining various grants and funding that allowed them to extend the focus on the project to the Riverwalk and Seawall, while extending the phases of the Program to StreetRead MoreProject Management Tools On The Jaguar Project1508 Words à |à 7 PagesImpact of the project management tools on the Jaguar project Part 1 :Description of the project management tools on the Jaguar project 1. Work Breakdown Structure (WBS) Description: WBS could divide the project into individual tasks and it could satisfy the relationship among these tasks, WBS has two goals: 1.Ensure the whole tasks can success to accomplish the project. 2.Ensure no including the works, which are unnecessary for the project. Advantagesï ¼Å¡WBS can define project plan specifically,Read MoreAssessment Of Security Standard And Open Web Application Security Project1330 Words à |à 6 PagesStandard OWASP and UKCES University College University of Denver Medha Banda Final paper ICT 4845 Network Security with Lab Professor: Holger Weinhardt Table of contents: 1. Abstract 2. Introduction 3. The standard for OWASP 4. UCKES 5. Comparison between OWASP and UKCES 6. Conclusion 7. References ABSTRACT: The main intent of this paper is to discuss the applications that use the web to process the information and access, with the help of the standard protocols to function on safer platformsRead MoreProject Selection Risk Project Risk1052 Words à |à 5 PagesRunning head: PROJECT SELECTION RISK 1 Project Selection Risk Natasha Bing Grantham University PROJECT SELECTION RISK 2 Abstract With any project, it always needs to be completed within a certain time period, and most often times it will acquire various costs to includeRead MoreCommunication Plan675 Words à |à 3 Pages Huntsville Plant Project Report Shannon Foreman Keller Graduate School of Management of DeVry University Abstract This research paper will explain the process and reason for a communication plan as it pertains to the success of the Huntsville Plant Project. It was once quoted by, President and CEO of National Semiconductor Corp, Gilbert Amelio that, Developing excellent communication skills is absolutely essential to effective leadership. The leader must be able to share knowledgeRead MoreProject Risk And Risk Management1412 Words à |à 6 Pages1- Abstract: Project Risk is an undefined event that, if it occurs, has a positive or negative impact in the projectââ¬â¢s results. There are two types of risks can affect the project, they are threats and opportunities. The first affects negatively and the second affects positively. These risks can be individual risks or overall project risk. The project risk management includes six process: 1- Risk Management Planning: Deciding how to plan and execute the activities. 2- Risk Identification: Determining
Auditing Theory and Practice in Several Factors
Question: Discuss about the Auditing Theory and Practice in Several Factors. Answer: Introduction Audit risk is defined as any form of risk in which an auditor expresses an inappropriate opinion related to the financial statements. The measurement of the audit risk consists of the inherent risk factors, control risk and the detection of the uncertainties prevalent in the financial reports. The most noted form of inappropriate audit reporting is mainly observed in issuing of unqualified audit report in which the qualification has been justified reasonably. The control risks are related to the misstatements that may be corrected, detected or prevented through the internal control mechanism. The control risk assessment may arise due to inappropriate separation of the duties and inappropriate definition of the same. There have been several inherent risk factors observed mainly due to the likelihood of different types of material misstatements, which leads to fraud or error before considering the effectiveness of the internal control system. In several cases, an auditor is unable to d etect the misstatements, which leads to instability in the financial statements (Accounting-simplified.com. 2016). As stated by McNeil, Frey and Embrechts (2015), the study of audit risk is primarily conceptual in nature when the comparison is made with other accounting courses. In order to be more successful in knowing the level of allowable audit risk and auditor should emphasize the learning based on conceptual framework of accounting and apply the auditing concepts different scenarios and circumstances. In order to assess the various types of level of risk which can be accepted the information has been sourced from the International Federation of Accountants and International Accounting Standards Board. The major phases in assessment of the level of audit risk involves clients acceptance in continuance and establishment in terms of the engagement of audit risk, planning of audit and integration of internal control system. An auditor can consider the level of materiality by ensuring the independence in the audit team and fulfillment of the audit engagement requirements (AccountingWEB. 2014). Discussion The purpose of conduction of initial audit is intended to provide a reasonable amount of assurance of the integrity and accuracy of the financial statements. The main purpose is to ascertain the different types of risk involved in preparing a report and provide assurance and avoidance of using excessive time, cost involved in performance which may outweigh the gains from the derived or the results. The external audit is prepared to ensure that the financial statements are free from any errors and material misstatements. It also ensures that the tax authorities can rely on the statements to determine the accuracy during tax returns. The financial institutions reports finalizes and assess the credit risk related to financial position and liquidity. The management of the firm considers exercising risk management procedures and internal control systems with the help of different types of feedback given by external auditors during the course of audit process. Hence, the audit report is de signed to increase the reliance of the users of the audit report has the process has to go through several procedures in the audit process (Accaglobal. 2016). As per the requirements under International Standards on Auditing (ISA) 315, and auditor needs to understand the entity and the environment before accessing the risks related to material misstatement and developing of the responses to address the issues. The assessment of audit risk procedure consists of four processes. A company and the sector in which it operates relate the first process to the understanding of business operations of the firm. The second processes related to the understanding of different types of financial difficulties which can be faced by the firm and also taking into consideration the risks faced by clients. The third stage of the process involves the assessment of various types of material misstatements as a result of business states and the final process in the level of risk assessment involves responding to the risks and addressing it on the basis of a report (Accounting-simplified.com. 2016). According to Geiger, Raghunandan, and Riccardi (2013), the likelihood of financial risk due to the going concern may be related to the past difficulties of the company in procuring external finance and complying with the covenants and the related terms. The risks are also related to the requirement of working capital for maintaining seasonal fluctuations in the demand. In several types of cases that it is been seen that the risks are due to finance facilities which are yet to be renewed but not agreed and moreover the management had not planned for any alternatives for the extension of present facilities. In different cases management has plans to sell the assets in order to overcome the financial difficulties but the values included may not be realized and in case that assets will not be sold or the realized value would be lower, may not be sufficient for the company to overcome the financial difficulties. The going concern risks are also due to the uncertainty and volatility in the future cash flows. Several industries has shown falling the sales due to the credit crisis and although different industries have been affected, the unpredictable nature pertaining to the environment makes it further difficult for the companies to forecast the shortfall in cash and assure adequate availability of cash requirements. In several cases, the entities of financial statements are dependent on the key suppliers and hence situations when supplies face the difficulties supplying of essential raw materials the company needs to spend more time for sourcing of suitable supplier (Pcaobus.org. 2016). According to Sadgrove (2016), in order to focus the fair value factors of the risk assessment is based on the nonexistence of active market, which is required for the valuation purposes. In some cases, the impairment in the noncurrent assets section require additional expertise to assess the high risk valuation in the material misstatements. The auditor also needs to consider different types of strategic risks, which may have a direct impact on the financial statement. This type of strategic risk may be obvious due to the price competition of the goods and it would require higher amount of rent and operating cost in order to cope up with the price competition and create a downward pressure on the prices (Boone, Khurana, and Raman, 2014). In terms of the risk related to systems and controls auditor should consider designing of the effectiveness related to operational controls and address the different types of identified risks parameters. The auditors should be able to ensure that the companys documentation and systems has been properly evaluated and the accounting department has taken into consideration the contingent factors while preparing the financial statements. Some of the other financial risk factors, which need to be considered by preparing audit report, include impairment in the assets, which are held for the purpose of fair value assessment. In several cases, the customers are likely to face difficulties related to finance for high level of receivables and hence it will be the irrecoverable in future. In several cases the impairments of the carrying value as did not affect the financial statement should not be capitalized when considering the non-purchased goodwill amount (Pcaobus.org. 2016). The International Standard on Auditing (ISA) is responsible to identify and make the assessment for different types of material misstatement, which has been stated in the financial statement during an audit report. The assertions are based on the representation by the management of the firms, which may be explicit and used by the auditor for considering the various types of potentiality in terms of the misstatements, which may occur, in the financial report. As per thy is the definition on business risk, it is considered as the risk can arise from significant events and have an adverse effect on the ability to achieve and execute the different strategies and objectives of the business (Nicolaescu 2013). In several cases, the internal control risk has been seen by management and other personnel in achievement of the entities objective and reliability of financial reporting to find the efficiency and effectiveness to comply with the applicable laws and regulations (Ifac.org. 2016). Conclusion Hence, it can be concluded by saying that the level of audit risk feature an auditor is willing to take is based on the significance of the risk. The significance levels of the risks are considered with the material misstatements, which are related to entities risk assessment process for the various types of the identified risk factors. An auditor shall be able to identify the financial risk level based on financial statement level of the company (ISA para A105-A108). The auditor needs to identify the risk level and decide whether the information obtained is related to the purpose of the present audit process. This is because the changes in the control of environment is relevant in obtaining the high standard of audit results and this may require an auditor to make inquiries and perform appropriately to include relevant systems of auditing procedure. In several cases due to the nature of special-purpose, entities in form of corporate trust or partnership entity the audit process may take into consideration several exclusions during assessing material misstatements. The most common type of risk is observed due to non-routine transactions or risk related due to judgmental matters. The non-routine transactions are related to the unusual risks, which may arise either due to the size on nature of the business. Reference List Accaglobal. (2016). Audit planning in difficult times | ACCA Global. [online] Accaglobal.com. Available at: https://www.accaglobal.com/in/en/discover/cpd-articles/audit-assurance/difficult-times.html [Accessed 21 Sep. 2016]. Accounting-simplified.com. (2016). Audit Risk Model | Inherent Risk, Control Risk Detection Risk. [online] Available at: https://accounting-simplified.com/audit/risk-assessment/audit-risk.html [Accessed 21 Sep. 2016]. Accounting-simplified.com. (2016). Purpose Objective of Auditing Financial Statements. [online] Available at: https://accounting-simplified.com/audit/introduction/purpose-of-audit.html [Accessed 21 Sep. 2016]. AccountingWEB. (2014). Top 10 audit problems revisited. [online] Available at: https://www.accountingweb.co.uk/business/financial-reporting/top-10-audit-problems-revisited [Accessed 21 Sep. 2016]. Boone, J.P., Khurana, I.K. and Raman, K.K., 2014. Did the 2007 PCAOB Disciplinary Order against Deloitte Impose Actual Costs on the Firm or Improve Its Audit Quality?.The Accounting Review,90(2), pp.405-441. Ettredge, M., Fuerherm, E.E. and Li, C., 2014. Fee pressure and audit quality.Accounting, Organizations and Society,39(4), pp.247-263. McNeil, A.J., Frey, R. and Embrechts, P., 2015.Quantitative risk management: Concepts, techniques and tools. Princeton university press. Nicolaescu, E., 2013. Understanding Risk Factors for Weaknesses in Internal Controls over Financial Reporting.Psychosociological Issues in Human Resource Management,1(3), pp.38-44. Pcaobus.org. (2016). AU 312 Audit Risk and Materiality in Conducting an Audit . [online] Available at: https://pcaobus.org/Standards/Auditing/pages/au312.aspx [Accessed 21 Sep. 2016]. Pcaobus.org. (2016). AU Section 9312 - Audit Risk and Materiality in Conducting an Audit: Auditing Interpretations of Section 312 . [online] Available at: https://pcaobus.org/Standards/Auditing/Pages/AU9312.aspx [Accessed 21 Sep. 2016]. Sadgrove, K., 2016.The complete guide to business risk management. Routledge. Geiger, M.A., Raghunandan, K. and Riccardi, W., 2013. The global financial crisis: US bankruptcies and going-concern audit opinions.Accounting Horizons,28(1), pp.59-75.
Thursday, April 23, 2020
Theories of Addiction General Counseling Methods
General counseling methods There are numerous counseling methods applicable in the treatment of addictions. They are helpful in establishing critical treatment methods meant to curb the aspects of drug abuse and the alleged addictions. One of the general counseling methods applicable in this context is the motivational interviewing.Advertising We will write a custom essay sample on Theories of Addiction: General Counseling Methods specifically for you for only $16.05 $11/page Learn More Drug addicts require well-orchestrated counseling mechanisms that will enhance their willingness to quit drug abuse and the characterizing addiction. Motivational interviewing tends to unveil the issues related to drug addiction and formulate strategies that can motivate drug addicts to quite the vice (Peele, 1998). Another treatment method is the Cognitive-Behavioral Theory (CBT). CBT addresses all emotional, behavioral, and cognitive dysfunctions usually experienced by drug addicts. This makes the method quite relevant and applicable as a treatment method in the entire context. The two methods chosen are useful in the addiction treatment due to their applicability, convenience, relevancy, and conventionality in counseling and addressing the provisions of drug addiction. Dry Drunk Syndrome Dry Drunk Syndrome refers to a situation where one seems drunk even without taking any alcohol (experiences alcoholic lapse). The situation is evident among addicted individuals who usually experience withdrawal symptoms after quitting the concerned drug. The alcoholic retains mental and behavioral characters connected with drunkenness (DeSena, 2005). This occurs even when he/she has not drunk alcohol. This syndrome relates perfectly with most of the theories studied in this module. Theoretically, addicted individuals or those who have consumed alcohol for long might face mental problems thus exhibiting behaviors related to drunkenness even if they have not taken alcohol. This relates to the aspects of addiction mentioned earlier in the paper. A situation of an ex-smoker who socially smokes An ex-smoker who socially smokes is probably enhancing his or her smoking behaviors again. It is important to understand that despite him or her quitting smoking, the fact that he/she occasionally smokes is devastating. His body system might rekindle the smoking behavior hence posing a considerable threat to his/her wellbeing. This is a very important consideration in various aspects. There is a substantial root of addiction in this situation. Biologically, the body system of this ex-smoker will start registering the chemicals (nicotine) presented to it by the cigarette hence triggering the aspects of addiction.Advertising Looking for essay on psychology? Let's see if we can help you! Get your first paper with 15% OFF Learn More The body will need the chemical in order to operate fully. Additionally, the situation might trigger the withdraw al symptoms associated with smoking hence necessitating him/her to smoke again (Peele, 1998). Psychologically, the concerned ex-smoker might develop a system where he/she enjoys social smoking hence must do it daily. This triggers the aspects of addiction by submitting to the psychological needs. Lindesmithââ¬â¢s Conditioning Model The study of addiction affects societal perceptions on addiction in numerous ways. The study demonstrates the cognitive aspects of addiction plus other related psychological concerns in this context. Illuminating extensively on the scientific and psychological prospects of addiction can reform how the society perceives it. This is an important consideration in various contexts. According to Lindesmith, the society will be able to perceive addiction differently hence making approaches in fighting/preventing the vice (Peele, 1998). Concurrently, it is important to agree that addiction has been over-diagnosed in the USââ¬â¢s culture as claimed. There a re various instances of the vice despite the efforts to eradicate it. Additionally, various people in the society including the youth have indulged into drug abuse and addiction. Conclusively, the outline of a ââ¬Ësuccessful theory of addictionââ¬â¢ is adequate due to its applicability, appropriateness, conventionality, and efficiency in discerning the aspects of addiction. References DeSena, J. (2005). Overcoming your alcohol, drug and recovery habits: An empowering alternative to AA and 12-step treatment. Tuscan, Arizona: See Sharp Press. Peele, S. (1998). The meaning of addiction: An unconventional view. San Francisco, CA: Jossey-Bass Publishers. This essay on Theories of Addiction: General Counseling Methods was written and submitted by user Barbara Berry to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.
Tuesday, March 17, 2020
buy custom Prediction of Future Conflicts essay
buy custom Prediction of Future Conflicts essay The clash of Civilizations is a theory that Huntington proposed in his article The Clash of Civilizations (1993) and his book The clash of civilizations and the remaking of world order (1996). Based on the assertion that similarity between ideas, individuals, parties or states causes peaceful relations whereas a difference generates conflicts and disorder, Huntington suggests that culture and cultural identities will be the leading causes of war in the post Cold War world. Culture and cultural identities; they are fundamentally civilization identities, are presently the main shapers of the patterns of conflict, disintegration and cohesion in the post-Cold War. This paper discusses the reasons why this theory is a strong predictor of the future conflicts. It is crucial to note that the main thesis of this theory is that the great divisions that will occur among humankind and the leading source of conflict are to be cultural. In this line, he divides the cultures of the world into seven civilizations: the Western civilization: consists of the West and Central Europe, Australia and the North America; the Latin American civilization, which involves the Central and South America; Buddhist civilization is mainly Asian states; Confucian civilization which is China and its Diaspora, Singapore, Taiwan; Hindu civilization, which is India ad Nepal; Japanese civilization; African civilization and Islamic civilization. From this division, Huntington indicates that the conflicts will most likely occur between the Western civilization that currently dominates the worlds power and its greatest challengers that include Islamic and Confucian civilizations. It is evident that the East Asia, China in particular, is a significant threat to the West due to the rapid economic growth. The US, for instance, worries of what the Rise of China can do to its status of being the worlds superpower, considering that the Chinese military continues to get stronger. Additionally, the Islamic civilization also threatens the West. This is clear since the September 9/11 incident that led to the US militarys invasion to Muslim countries; especially Afghanistan where they recently killed the Al-Qaeda leader. Most of the Islam civilizations possess the Anti-Americanism attitude and general opposition to the West and its culture and ideas. The pattern and history of events that take place between these two civilizations only m ake one expect the worst in future. Also, according to Huntington, he sees some states as the swing-states. Such countries are those that will favor either the West, or its challengers. They include India, Russia and Japan. Their acts will destabilize the world further since thheir affiliations are not clear, though their power is hefty enough to cause the significant changes. Another prediction is that there will be future conflicts between Muslims and non-Muslims. This will mainly be found along their borders. The conflicts in Sudan, Bosnia, Nigeria, Philippines and Kashmir are a proof of this. Historical clashes of Muslims and Christians date back to the middle ages, and both Islam and Christianity are universal religions, whose mission is to spread their faith; which are the main reasons for the current as well as future conflicts between the Islamic civilizations and the Christian-West civilizations where attack on Iraq is a proof of this. In conclusion, ethnic conflicts and cultural differences are extremely relevant issues for shaping international politics. Since the ethnic identities and cultural affiliations are responsible for making group relations, the conflicts have caused extreme human suffering and remain a crucial threat to the international security. From the above explanations, it is clear that the clash of civilizations has been the main contributor of wars and can, according to the current global situation among civilizations, only predict a future recurrent of conflicts. Given the complexity associated with cultural and ethnic conflicts, there is no direct solution of solving issues relating to them. Buy custom Prediction of Future Conflicts essay
Sunday, March 1, 2020
Biography of Clarence Darrow, Legendary Attorney
Biography of Clarence Darrow, Legendary Attorney Clarence Darrow became the most famous defense lawyer in early 20th century America by taking on cases considered hopeless and emerging as a leading voice for civil liberties. Among his celebrated cases was the defense of John Scopes, the Tennessee teacher prosecuted in 1925 for teaching about the theory of evolution, and the defense of Leopold and Loeb, two wealthy students who killed a neighbor boy for the thrill of it. Darrows legal career was utterly ordinary until he became involved in advocating for labor activists in the 1890s. Before long he would become nationally known as a crusader for justice, often speaking out against capital punishment. His obituary in the New York Time in 1938 noted that he had defended the accused in ââ¬Å"a hundred or more murder trials, no client of his had ever died on the gallows or in the electric chair.â⬠That was not entirely accurate, but it underscores Darrows legendary reputation. Fast Facts: Clarence Darrow Known For: Famous defense attorney who often won cases thought to be hopeless.Notable Cases: Leopold and Loeb, 1924; the Scopes Monkey Trial, 1925.Born: April 18, 1857, near Kinsman, OhioDied: March 13, 1938, age 80, Chicago, IllinoisSpouses: Jessie Ohl (m. 1880-1897) and Ruby Hammerstrom (m. 1903)Children: Paul Edward DarrowEducation: Allegheny College and University of Michigan Law SchoolInteresting Fact: Darrow claimed to believe in personal liberty, the abolition of capital punishment, and the improvement of labor conditions. Early Life Clarence Darrow was born April 18, 1857, in Farmdale, Ohio. After attending public schools in Ohio, young Darrow worked as a farm hand and decided the labor of the farm was not for him. He studied for a year Allegheny College in Pennsylvania before attending the University of Michigan law school for a year. His education was not impressive by modern standards, but it qualified him to read law for a year with a local lawyer in Ohio, which was a common method of becoming an attorney at the time. Darrow became a member of the Ohio bar in 1878, and for the next decade he embarked on a fairly typical career for a lawyer in small town America. In 1887, hoping to take on more interesting work, Darrow moved to Chicago. In the big city he worked as a civil lawyer, pursuing ordinary legal tasks. He took on work as a counsel for the city, and in the early 1890s he worked as a corporate counsel for the Chicago and Northwestern Railroad. In 1894 Darrowââ¬â¢s life took a significant turn when he began defending legendary labor activist Eugene V. Debs, who was fighting an injunction against him for leading a strike against the Pullman company. Darrow was ultimately not successful in his defense of Debs. But his exposure to Debs and the labor movement gave him new direction in life. Crusader for Justice Beginning in the mid-1890s, Darrow began taking on cases that appealed to his sense of justice. He was generally successful, for what he lacked in education and prestige he made up with his ability to speak plainly but dramatically in front of juries and judges. His courtroom suits were always rumpled, apparently by design. He portrayed himself as a common man seeking justice, though often armed with cunning legal strategies. Darrow became known for sharp cross-examinations of witnesses, and as he championed those he considered oppressed, he would often introduce novel concepts from the emerging field of criminology. In 1894 Darrow defended Eugene Prendergast, a drifter who killed the mayor of Chicago, Carter Harrison, and then walked into a police station and confessed. Darrow raised an insanity defense, but Prendergast was convicted and sentenced to death. He was the first and last of Darrows clients to be executed. The Haywood Case One of Darrows most notable cases came in 1907, when the former governor of Idaho, a supporter of the mining industry, was killed in a bombing. Detectives from the Pinkerton agency apprehended officials of the Western Federation of Miners (part of the Industrial Workers of the World) including the unions president, William Big Bill Haywood. Charged with conspiracy to commit murder, Haywood and others were to go on trial in Boise, Idaho. Darrow was retained for the defense and deftly destroyed the prosecutions case. Under Darrows cross-examination, the actual perpetrator of the bombing admitted he had acted alone as a matter of personal vengeance. He had been pressured to implicate the labor leaders by the prosecutors in the case. Darrow gave a summation which amounted to a profound defense of the labor movement. Haywood and the others were acquitted, and Darrows performance cemented his position as a defender of the common man against money interests. Leopold and Loeb Darrow was on the front pages of newspapers across American in 1924 when he defended Nathan Leopold and Richard Loeb. The two were college students from wealthy families who confessed to a shocking crime, the murder of a 14-year-old neighbor boy, Robert Franks. Leopold and Loeb became figures of public fascination as they told detectives they had committed the kidnapping and murder of a random boy for the adventure of perpetrating the perfect crime. Seated left to right, Nathan Leopold, Jr., attorney Clarence Darrow and Richard Loeb. The boys were found guilty of the murder and kidnapping and Bobby Franks. à The families of Leopold and Loeb approached Darrow, who at first resisted taking the case. He was certain they would be convicted, and he had no doubt they had committed the murder. But he took on the case as he was opposed to capital punishment, and his goal would be to save them from what seemed to be certain execution by hanging. Darrow requested that the case be heard by a judge without a jury. The judge in the case agreed. Darrowââ¬â¢s strategy was not to argue about their guilt, which was certain. And as they had been judged sane, he couldnââ¬â¢t argue an insanity defense. He tried something novel, which was to argue that the two young men were mentally diseased. Darrow called expert witnesses to advance psychiatric theories. The witness, known at the time as alienists, claimed the young men had mental problems related to their upbringings which were mitigating factors in the crime. The appeal for mercy posed by Darrow eventually succeeded. After deliberating for ten days, the judge sentenced Leopold and Loeb to sentences of life plus 99 years. (Loeb was killed in prison by another inmate in 1934. Leopold was eventually paroled in 1958 and died in Puerto Rico in 1971.) The judge in the case told the press that he was moved to show mercy by the age of the defendants and not by the psychiatric evidence. However, the case was considered by the public to be a triumph for Darrow. The Scopes Trial Darrow was a religious agnostic and was particularly opposed to religious fundamentalism. So the defense of John Scopes, the schoolteacher from Dayton, Tennessee, prosecuted for teaching about Darwinââ¬â¢s Theory of Evolution naturally appealed to him. American lawyers Clarence Darrow (1857-1938) and William Jennings Bryan (1860-1925) at the Scopes Trial. Heritage Images / Getty Images The case arose when the 24-year-old Scopes, teaching in a local public high school, included mentions of Darwinââ¬â¢s ideas in the curriculum. By doing so he violated a Tennessee law, the Butler Act, and he was charged. William Jennings Bryan, one of most prominent Americans in politics for decades, entered the case as the prosecuting attorney. On one level, the case was simply about whether Scopes had violated the local law. But when Darrow came into the case, the proceedings became nationally known, and the case was dubbed The Monkey Trial in the sensationalist press. A split in American society in the 1920s, between religious conservatives and progressives advocating science, became the focus of the courtroom drama. Newspaper reporters, including the legendary journalist and social critic H.L. Mencken, flooded into the town of Dayton, Tennessee, for the trial. News dispatches went out via telegraph, and even reporters in the new medium of radio relayed the proceedings to listeners around the country. The highlight of the trial occurred when Bryan, claiming to be an authority on Biblical teachings, took the witness stand. He was cross-examined by Darrow. Reports of the encounter stressed how Darrow had humbled Bryan by getting him to admit to a literal interpretation of the Bible. A headline in the Washington Evening Star proclaimed: Eve Made of Rib, Jonah Swallowed by Fish, Bryan Declares In Sensational Cross-Examination of Bible Beliefs By Darrow. The legal result of the trial was actually a loss for Darrowââ¬â¢s client. Scopes was found guilty and fined $100. However, to many observers, including H.L. Mencken, Darrow was considered to have won a victory in the sense of having shown to the nation at large the ludicrous nature of fundamentalism. Later Career Besides his busy legal practice, Darrow published a number of books, including Crime: Its Cause and Treatment, published in 1922, dealing with Darrows belief that crime was caused by factors impacting a persons life. He also wrote an autobiography published in 1932. In 1934, President Franklin Roosevelt appointed the elderly Darrow to a post in the federal government, assigned to correct legal problems with the National Recovery Act (a part of the New Deal). Darrows work was considered successful. One of his last jobs was to serve on a commission studying the threat arising in Europe, and he issued a warning about the danger of Hitler. Darrow died in Chicago on March 13, 1938. His funeral was attended by many members of the public, and he was eulogized as a tireless crusader for justice. Sources: Clarence Seward Darrow. Encyclopedia of World Biography, 2nd ed., vol. 4, Gale, 2004, pp. 396-397. Gale Virtual Reference Library.Scopes Monkey Trial. Gale Encyclopedia of American Law, edited by Donna Batten, 3rd ed., vol. 9, Gale, 2010, pp. 38-40. Gale Virtual Reference Library.Darrow, Clarence. Crime and Punishment in America Reference Library, edited by Richard C. Hanes, et al., vol. 4: Primary Sources, UXL, 2005, pp. 118-130. Gale Virtual Reference Library.
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