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Monday, September 30, 2019

Compare and contrast shopping as a leisure activity of British Culture with that of your own culture Essay

Becoming a foreign student has given me the opportunity of living in two cities at the same time. Living in each city regularly has let me see many similarities and differences between both. In this essay, I will mainly compare and contrast shopping as a leisure activity between United Kingdom and Hong Kong. I will look at the kinds of activities, attitudes towards spending, the view of shops and the opening hours of shops. First of all, both United Kingdom and Hong Kong are consumer societies. People can find all sorts of things to do like shopping in malls or streets. The appearance of the malls in United Kingdom primarily comes from the fact that they feature more than hundreds of stand-alone shops, cafes, restaurants and a huge number of department stores, in which there are wide varieties of types of shops. Moreover, most shops are chain stores, but among those that are not, there is much individuality. (O’ Driscoll, J. 1995 P. 148) The situation of shopping malls is as common in Hong Kong. Both societies, moreover, like buying and selling products through online. Nowadays, the rapid development of the Internet advances the online trading. The customers do not need to walk on the streets, they just have to browse the website of that company and the shop will provide the pictures of the products for you to purchase. For example, the Amazon. com is popular in both United Kingdom and Hong Kong. (Hong Kong Tourism Board, 2012) Despite some important similarities in shopping between United Kingdom and Hong Kong, there are significant differences as well. One obvious difference is the attitude towards spending. The British are not very adventurous shoppers. They like reliability and buy goods that are preferably with the price clearly marked. Of course, they are not very keen on haggling over prices. (O’ Driscoll, J. 1995 P. 148) In contrast, Hong Kong People spend lots of money on buying things they like. Also, people in Hong Kong like to bargain with the sales owner in order to obtain a cheaper price, especially in some market streets and small shops. (Hong Kong Tourism Board, 2012) Other areas of difference are the opening hours of shops. Most shops close early in United Kingdom such as half-past five and shops close a bit later in large cities. In some towns there are even shops shut at midday and do not open again. (O’ Driscoll, J. 1995 P. 149) This is probably because owner needs to take rest after a full day’s work. However, since Hong Kong is a reputed shopping ‘paradise’, it is easy for you to find a shopping mall nearby anytime. (Hong Kong Tourism Board, 2012) Shops open till late at night in Hong Kong because workers tend to earn more money to earn a living and in order to match with those people who need to work late. Unexpectedly, some market streets even open at 2 am. Therefore, people can go shopping whenever they want to. To Hong Kong eyes, the shopping malls seem just like convenience stores. A final difference between United Kingdom and Hong Kong is the view of the shops. Many people are surprised by the shabbiness of shop-window displays, even in prosperous areas in United Kingdom. It is just that the British do not demand art in their shop windows (O’ Driscoll, J. 1995 P. 148), whereas shops in Hong Kong are definitely decorated nicely and drab hoardings and shop signs erupt in numerous shades of neon color. Peering over the balcony was like looking down on a fairground and even the lights of the shops could not compare with the overall view. People say shopping gives a lot of pleasure to citizens. This must be true. Indeed people in both United Kingdom and Hong Kong like to spend their leisure time on doing shopping. Yet there are still many differences based on the topics such as the spending attitudes, shops opening hours and the view of shops.

Sunday, September 29, 2019

Bike Vs. Car

Watching television is one of the major Issues of this century, which has many physical and psychological effects on people. Television has caused Individuals to have eating disorders. It has made children only want to be like the stars they see on the screen. Lastly, television has created a gap between families. Watching television has become something every family participates In now-a- days. It Is part of a normal standard In everyday use.Slating In front of the television fore a meal and eating there during the meal Is extremely common now. There are even meals made for this called â€Å"TV Dinners†. This causes Individuals to gain a significant amount of weight. This weight gain leads to obesity. Children look up to the people starring on television. They want to be the stars, look like the stars, and even act like them too. This causes the â€Å"monkey see monkey do† effect. Tons of children , and individuals in general, try to be like what they see on television . Drugs, alcohol, violence, sex, and all sorts of other bad influences come from watching television.Children look up to this and are only forced to grow up faster, by being exposed to such things, and participate in such acts. Legalize 2 While watching television, all attention is focused on the screen and dialect coming from the screen. It is especially hard to break focus when one is very interested in a show or movie. This makes it drastically difficult to talk to an individual while they are watching television. In return, this causes a broken bond between families. Children are more focused on the television and seem to ignore their parents. Coincidentally, arenas are guilty as well.They even get so attached to their shows they ignore their children. This causes separation in the home between parents and children. Television was aimed to be a positive object to entertain individuals. Yes, television still airs great shows and movies, although, watching television has caused mo re negative effects in the long-term. Children are trying to duplicate what they see on television. Parents and children are losing their close-knit relationships. Individuals are even obtaining eating disorders from eating aimlessly while watching television.This is why watching television causes physical and psychological effects on people. Bike Vs.. Car By Arians-Legalize Watching television is one of the major issues of this century, which has many physical and psychological effects on people. Television has caused individuals to Watching television has become something every family participates in now-a- days. It is part of a normal standard in everyday use. Sitting in front of the television before a meal and eating there during the meal is extremely common now. There are even meals made for this called â€Å"TV Dinners†. This causes individuals to gain a

Saturday, September 28, 2019

Push Pull Factors Influencing International Education Essay

The purpose of the article is to happen the influencing factors on international pupils ‘ determination in choosing establishments and host states.While related cognition are good developed, the purpose of the article mentioned above is non clearly specified. The article discusses the ground why pupils select to analyze overseas. There are two grounds: one is that, positive outlook of instruction for raising the economic and societal position, peculiarly higher instruction. The other is that less developed states do non hold adequate educational installation and pupils can non easy acquire higher instruction. Education industry started from 1960s in western advanced states. To capture the forms of international pupils flow globally, the writers endeavor to explicate it by a combination of â€Å" push and pull † factors that may promote pupils to analyze abroad. â€Å" Push † factors are those runing in the pupils ‘ place state. These will impact pupils ‘ determination to analyze abroad or non. While â€Å" pull † factors are those caused in the host state, these are seeking to pull international pupils. Though the grounds taking to analyze abroad were presented briefly in the debut subdivision, the writers fail to supply an enlightening lineation to explicate what they want to look into in this research paper.Literature Review For Past researchTo understand international instruction market, the writers review old research and place a group of seven major factors that may act upon the demand for international instruction. These factors include 1 ) deficit of higher instruction particularly in Asia and Africa 2 ) the particular relationship in history between host and place states, 3 ) the common linguistic communication between the place and host states 4 ) the advanced development in scientific discipline and engineering 5 ) the little distance from place to host states 6 ) people ‘s sentiment about the third instruction system in the beginning state and 7 ) last but non least, the writers find out that the wealth and the GNP growing rate both have some influence on the demand for international instruction by mentioning to Lee and Tan ( 1984 ) the comparative wealth of population and the GNP growing rate in the place state. By mentioning to Agarwal and Winkler ( 1985 ) , the writers farther identified four principal drivers, i.e. , the mean income per individual in the place state, the assorted sorts of analyzing cost, the handiness of educational chances in the place state, and the expected return of analyzing abroad. The writers besides refer to McMahon ‘s ( 1992 ) testing of push and pull theoretical account. In the push theoretical account, it illustrates that the degree of wealth in one economic system, the universe position of the underdeveloped state, the grade of the importance of the instruction in place state, and the instruction handiness all play of import functions on the demand for international instruction. In the pull theoretical account, the factors in the host state that could act upon international pupils are the comparative economic system size between the two states, the economic connectivity between place and host states, the political involvement of the host state to the place state, and the scholarship provided by the host state. The writers besides summarize the determination of two paper published by the first writer Mazzarol in 1997-98. When choosing a concluding survey finish, pupils by and large go through at least three distinguishable phases, i.e. , make up one's minding to analyze overseas, taking a host state, and happening a host establishment. Push factors play an of import function in doing the determination of analyzing abroad, whereas pull factors may hold impact on taking the host state and establishment. The pull factors for doing a host state attractive include 1 ) the general recognition of the host state, 2 ) recommendations obtained by the pupils, 3 ) instruction cost, 4 ) the environment of the host state, 5 ) the advantage of geographics, and 6 ) societal links. The pull factors for doing a host institute attractive include 1 ) an establishment ‘s repute for quality, 2 ) market profile, 3 ) scope of classs, 4 ) confederations or alliances, 5 ) offshore learning plans, 6 ) staff exp ertness, 7 ) grade of invention, 8 ) usage of information engineering, 9 ) resources, 10 ) size of the alumni base, and 11 ) publicity and selling attempts. The writers have presented a comprehensive literature reappraisal, covering most of the of import factors act uponing the international pupil flow. In peculiar, by mentioning to a pull-push theoretical account, the writers have identified a set of push factors promoting pupils to seek to set about survey overseas. They besides have ascertained two sets of pull factors, doing a peculiar host state and host establishment attractive.Research Results Reported Including Research Method and Data CollectionThe survey involved largely quantitative method but besides use some qualitative method. Questionnaire informations aggregation method is used in the survey. In this survey, three stairss of the informations aggregation were used. The first is appraising Indonesian and Chinese pupils. The 2nd is appraising Indian pupils. The 3rd one is appraising Chinese pupils. The writers collected informations through questionnaires. All the questionnaires were distributed to the research workers as their first linguistic communication. All the three studies used the same inquiries in order to do a comparing. Before the formal probe, focal point group treatments were carried out. In this subdivision, the writers try to determine factors act uponing international pupils to take host establishments through a discriminate analysis which was used to compare international and local pupils ‘ sentiments. At least, two concerns are identified. First, the writers mention that a seven point evaluation graduated table is a metrical graduated table, which is non right. Technically, it is an ordinal graduated table. Second, although the survey includes 17 variables which will act upon the pupils ‘ pick of establishment, a few of import factors that were of importance to international pupils have non been highlighted and discussed by the writers. These factors include â€Å" offering a wide scope of class and plans † , â€Å" doing usage of the latest Information technology † , and â€Å" a repute for being antiphonal to student demands † , â€Å" good known for invention in research and instruction † , and â€Å" a big campus and excellent installations † . The writers seem to disregard to discourse them in this subdivision, merely because these factors are every bit of import to local pupils. The research consequence was besides reported by the writer by placing the four most of import â€Å" push † factors that affect the pick of international instruction. These four factors are pupils ‘ apprehension of the abroad class, the trouble of come ining to local plans, pupils ‘ involvement of western civilization, and the motive of migration. The writers think that these factors are of import issues for educational establishments to see when developing an international selling scheme. The paper besides discussed other act uponing elements in the pupils ‘ pick of the host state, such as the recognition of one state, the recommendations, alumnas influence, the assorted sorts of analyzing cost, and the natural environment. In general, the treatment fail to give much practical deductions as what a good research paper should accomplish in the treatment portion. The writers seem to reiterate what they have presented in the old subdivision. Very seldom, the writers discussed the findings of the study and presented their deductions to the Australian international instruction market. For illustration, when societal costs and better cognition consciousness of a host state were recognized as of import factors, the writers fail to discourse how the Australian authorities should use these findings and act to pull more international pupils to analyze in Australia. Marketing schemes such as painting Australia as a safe survey finish and advertisement Australia and Australian universities in prospective abroad markets would be really helpful. The same jobs besides took topographic point in the subdivision that the writers discussed factors act uponing the attraction of a peculiar host establishment.Remark on the Au thors ‘Conclusion Drawn from the Literature Review and informations CollectedThe writer provinces in his decision that the authorities and their establishments need to pay peculiar attending to the â€Å" push-pull † factors because they play of import functions in the pupils ‘ pick of host state. This is clearly drawn from the literature reviews and informations collected. Then the writer mentioned that the supply of the international pupils is increasing in the Asiatic states. The traditional â€Å" push † factors will less of import than earlier. This is non mentioned in the literature reappraisal and non drawn from the research of informations. But the author measure frontward reasoning based on this fact stating that the host states should pay attending to the â€Å" pull † factors. Further, the writers remind that the personal recommendation and quality instruction are the cardinal factors in the pupils ‘ determination of host state and establishments. Of these, we think it is merely a sensible but non high quality decision drawn from the literature reappraisal and the information collected.

Friday, September 27, 2019

Critical thinking Assignment Example | Topics and Well Written Essays - 750 words

Critical thinking - Assignment Example This might be one of the reasons the company is not growing as Henry seems to be micromanaging which is in the process stifling the organization he is trying to build. The very management style that is employed by Henry, the very management style that was critical in taking the company off the ground which is evidently based on a zealous focus on tactical execution is evidently derailing the growth of the company down the line. In this case, Henry is lost in the heat of battle, and has evidently failed to adapt their management style to the rapidly evolving needs of their growing organizations. A quick look at the organization structure and going by Henry’s responses, one would easily reveal the problem instantly. Providing his personal review of invoices before they were sent to customers is part of the problem which like he says cuts into a lot of time. Compounding this problem is the fact that the office is open which does not give him a place where to concentrate on the type of

Thursday, September 26, 2019

Women in the workforce Essay Example | Topics and Well Written Essays - 750 words - 1

Women in the workforce - Essay Example Traditionally, some careers are male dominated such as engineering and fire fighting while others such as nursing are female dominated. These assigned on the basis that women show empathy while men are physically stronger. However, there has been a change in legislation and women allowed the careers of their choice. Despite this, women still prefer not to indulge in to some of the male dominions such as fire fighting. Only about 2.5% of all fire fighters are women (Kershaw, par3). However, when supported, they fare as well as their male counterparts. In the case of female involvement in engineering, it has for along time been assumed that they are less involved in engineering because they are poor performers in mathematics. However, a recent study shows that this is not the case. Women are less likely to pursue engineering even if they perform well in mathematics (Angier et al, par15). Dr Summers proposed that this is down women considering the profession as too abstract and dull (he gives an example of buying trucks to his daughter but she treats them like teddy bears) (Angier et al, par33). However, this view rejected on the basis that men treat their cars as if the cars are human (equivalent to the teddy bear treatment of the trucks) (Angier et al, par34). In the present day, there are strict labor regulations that provide for equivalent pay for men and women provided they have the same job description (Farrell, 20). Such legislature is in place for women empowerment and reduction of exploitation and stereotypes against them. However, some employers feel that men and women have a different work out put and go as far as barring their promotion or giving them an inferior wage. Morgan Stanley recently had to pay settlement rather than face a jury trial when faced with a charge of sex discrimination (Mc Geehan, par 1). This is just a high profile case and there are many such cases all

Wealth and Welfare Essay Example | Topics and Well Written Essays - 250 words

Wealth and Welfare - Essay Example According to IMF (2004), countries with a favorable welfare for their citizens tend to generate more wealth than countries with poor welfare for their citizens. A look at the CIA’s World Fact book and the ranking of countries under global better life index, it shows that there is an indirect relationship between wealth and welfare (CIA, 2015; OECD, 2015). There are several other factors to consider when assessing a country’s wealth and welfare, but the fact remains that each is a contributing factor to the other such that a country with the highest wealth may not have the best welfare, but the range of countries ranked highest in wealth are also those within the group with the best welfare. Going back to the IMF findings, governments should focus their efforts on addressing welfare rather than focusing more on projects that will increase the country’s wealth. Citizens with a good welfare are more likely to be proactive and contribute more towards the country’s wealth. In this perspective, I would support British Prime Minister David Cameron’s view that it is better to focus more on the people â€Å"well-being rather than purely on economic criteria† (Jordans,

Wednesday, September 25, 2019

The Scarlet Letter Research Paper Example | Topics and Well Written Essays - 1250 words

The Scarlet Letter - Research Paper Example Overuse of symbolism A. Mystic â€Å"A† and the embroidered badge B. Imagination of the Letter â€Å"A† in lines of red IV. The theme is a reflection of the author’s life A. Metaphors vs. direct narration B. Ambivalent depiction of women C. Hawthorne’s family life V. Inadequate depiction of historical context A. English spoken in that era VI. Dual nature of characters A. Chillingworth’s angelic and demonic nature B. More than one aspect of human nature The Scarlet letter has been defined as a fine piece of art that readers would want to return to during any era. What sets it apart is the high level of intellect and originality of thought as opposed to the crude, violent and warm depictions of most other novels of similar nature at that time. Yet it has been criticized heavily for its slow progression and failure to involve the readers through drama, action and violence. The powerful impact of vivid imagination, sublime messages and sophisticated lit erary discourse is constrained to some extent by the lack of action, overuse of symbolism and inadequate historical depiction in Hawthorne’s â€Å"The Scarlet Letter†. The Scarlet letter begins with in a village setting where Dimmesdale and his companion Moose are on a peace mission. However, considering the persistent theme of adultery in the novel, the Scarlet Letter does not touch upon madness and jealousy which reduce its effectiveness (Bloom 7). It is only when Chillingworth is brought into limelight in the story does the author give an account of the romance and obsessive feelings that accompany jealousy (Bloom 7). Therefore, the warmth and passion that should’ve accompanied the subject was not present. Furthermore, there was ample scope for a lot of action since liberation is the topic of focus throughout the novel. This is one of the major issues in the novel where no such action is depicted. Hawthorne seems to have confined the characters to the Puritan setting whereby these individuals are engaged in cognitive behavior of thinking, interpreting and speculating as well as feeling, loving and hating; however, rarely are they seen doing anything. From the theme of the novel, readers would expect violence, assault, rape, suicide as well as extended romance; however, all this is rarely described as happening in the novel. This lack of depiction results in little ‘drama’ in the story as the scope of the theme has not been fully exploited by Hawthorne. Although, the absence of passion and the cold and ingenious fantasy cannot be termed as weaknesses of The Scarlet Letter, they tend to make the story less touching to even the most intelligent of all readers. A little more hideously human and crude depiction of natural violence and love could have left more impact on the readers. Nevertheless, the high level of intellect and sophistication delivered in this work of Hawthorne leaves the reader with a feeling of having a fine a nd delicately crafted piece of work. Most importantly, however, the overuse of symbolism has been criticized. Authors have claimed that symbolism has been used to the extent of producing a mechanical effect in the novel has been criticized (James 55). For instance, the thought of the â€Å"mystic A† that is imprinted on the shirt of the young minister along with the embroidered badge that Hester is destined to wear are evidence of such overuse (James 55). This suggestion should have been

Tuesday, September 24, 2019

Auditing Essay Example | Topics and Well Written Essays - 500 words - 2

Auditing - Essay Example Assurance service is an independent professional service, typically provided by CPAs, with the goal of improving the information or the context of the information so that decision makers can make more informed, and presumably better decisions. Attestation services are consultations that evaluate the reliability of written statements that are another party’s responsibility. Audits can be considered a type of assurance service but are only designed to test the validity of the financial statements. Recent economic issues drive increased demand for assurance services. The banking and finance industry fiasco of recent years has made these services indispensible in today’s market. There are differences between assurance engagements and attestation engagements other than audits and financial statements. One attestation is that of an entity’s compliance with requirements of specified laws, regulations, rules, contracts, or grants. A type of assurance engagement is that o f a comfort letter prepared to assure the recipient of the financial soundness company. The American Institute of Certified Public Accountants (AICPA) and the Institute of Internal Auditors (IIA) have positioned the auditing professions to become "assurance professions." Here, we explored the difference between assurance services, attestation services and auditing services. Furthermore, we discussed economic issues that drive increased demand for assurance services. We also identified one assurance engagement and one attestation engagement other than an audit of financial statements and the differences between them. The ten Generally Accepted Auditing Standards (GAAS) provide the foundation for all other auditing standards and interpretations. Here, we define the standard of "due professional care" and how a court might decide whether an audit firm met the standard. We also discuss why independence is often considered the

Monday, September 23, 2019

The Right To Fashion Among Individuals Essay Example | Topics and Well Written Essays - 1250 words

The Right To Fashion Among Individuals - Essay Example The philosophy of fashion speaks about how style is different from fashion wearing clothes means helping to give one’s body a sense of appearance that helps to define ourselves. Most people can understand what kind of a person one is just by the clothes he or she wears. Having an eye for detail or for fashionable clothing helps to up a person’s level of appearance in the eyes of both her/himself and in the eyes of other people around him. Not being able to reveal fashion through personal senses, or not being able to dress oneself in the kind of clothing one wants to is equivalent to the same feeling of having one’s body chained and not being able to do anything about it. Fashion is like freedom and liberation from the monotonous lives that most people live in the world today. It helps to bring about change and color in a person’s outlook towards life. It helps a person to feel light and also helps to alter his or her mood. This was fashion – dressin g oneself as one wanted to and trying to bring about a sort of look and appearance in the clothing of a person. This same activity and process were carried out in different parts o the world with respect to different kinds of clothing that were born from the creativity and uniqueness that different people had. Today, they are known as designers; however, in those days, they were known as the harbingers of freedom and creativity. Fashion is restricted now though, in many parts of the world and women are not given their due right to dress as they please.

Sunday, September 22, 2019

Difference Between Economic Growth and Economic Development Essay Example for Free

Difference Between Economic Growth and Economic Development Essay Economic Growth is a narrower concept than economic development.It is an increase in a countrys real level of national output which can be caused by an increase in the quality of resources (by education etc.), increase in the quantity of resources improvements in technology or in another way an increase in the value of goods and services produced by every sector of the economy. Economic Growth can be measured by an increase in a countrys GDP (gross domestic product). Economic development is a normative concept i.e. it applies in the context of peoples sense of morality (right and wrong, good and bad). The definition of economic development given by Michael Todaro is an increase in living standards, improvement in self-esteem needs and freedom from oppression as well as a greater choice. The most accurate method of measuring development is the Human Development Index which takes into account the literacy rates life expectancy which affect productivity and could lead to Economic Growth. It also leads to the creation of more opportunities in the sectors of education, healthcare, employment and the conservation of the environment.It implies an increase in the per capita income of every citizen. Economic Growth does not take into account the size of the informal economy. The informal economy is also known as the black economy which is unrecorded economic activity. Development alleviates people from low standards of living into proper employment with suitable shelter. Economic Growth does not take into account the depletion of natural resources which might lead to pollution, congestion disease. Development however is concerned with sustainability which means meeting the needs of the present without compromising future needs. These environmental effects are becoming more of a problem for Governments now that the pressure has increased on them due to Global warming. Economic growth is a necessary but not sufficient condition of economic development.

Saturday, September 21, 2019

Economic Performance of Nigeria

Economic Performance of Nigeria CHAPTHER ONE 1.1 BACKGROUND OF STUDY One of the biggest challenges for oil-producing countries is how to use its oil wealth strategically to promote sustainable growth, for example, in Nigeria, the massive increase in oil revenue as an aftermath of the Middle-East war of 1973 created unprecedented, unexpected and unplanned wealth for Nigeria. Then began the dramatic shift of policies from a holistic approach to benchmarking them against the state of the oil sector. Now, in order to make the business environment conducive for new investments, the government began investing the newfound wealth in socio-economic infrastructure across the country, especially in the urban areas (Adedipe, 2007). Over the past three decades, gulf cooperation council (GCC) countries have generally followed procyclical fiscal policies to changes in oil revenue. Following the sharp increase in global oil prices in the 1970s and early 1980s, government spending in all these countries rose as fast as oil revenue through a massive public investment program in infrastructure, fiscal incentives to develop the industrial sector, and the adoption of a generous welfare system. Notwithstanding the increase in spending, sizable overall fiscal surpluses were recorded in all GCC countries during those years, leading to a sharp accumulation of official asset. The existence of large foreign official assets facilitated a relatively low level of adjustment in spending in the period 1980-86, when crude oil prices declined significantly. Concerns for sustaining domestic demand in order to stave off a sharp reduction in non-oil growth has usually militated against significant fiscal adjustment in the face of falling oil prices in GCC countries. Spending was only cut by the equivalent to about half the fall in total revenue in Saudi Arabia, 20 percent in the United Arab Emirates, and 10 percent in Qatar. Facilitated by the completion of major infrastructure investments, the cutbacks fell mostly on outlays for projects, while current expenditure rose in all these countries, except in Saudi Arabia. In Bahrain and Kuwait, spending continued to rise across the board. In c ontrast, in Oman, lower oil revenue was more than offset by higher investment income and fees and charges, leading to a further increase in expenditure in the period (Fasano, 2000). According to Piana (2001), Public expenditure is the value of goods and services bought by the State and its articulations. It plays four main roles: contributes to current effective demand, expresses a coordinated impulse on the economy which can be used for stabilization, business cycle inversion, and growth purposes, increases the public endowment of goods for everybody and gives rise to positive externalities to economy and society, the more so through its capital component. According to Ely and Wicker (2002), government expenditure can be classified into the following: The direct cost of national defence includes the pay and equipment of troops, and the cost of ships, and cannon, and ammunition, etc. The indirect cost is represented by the pension list, as well as by the great waste of resources and opportunities for labor in times of war, expenditures for internal security includes the cost of our police system in all its branches, and that of our judiciary system, since both of these are occupied almost wholly in securing persons and property from injury, expenditures for the poor and unfortunate, that is, every advanced government recognizes an obligation to extend relief to paupers, to the deaf, the blind, the insane, and the feeble-minded, who, from natural defects, are unable to hold their own in the struggle for existence, expenditures for fulfilling the commercial functions and expenditures for fulfilling the developmental function. All these cu mulate into improving the economic performance of a country. The economic performance of any nation is measured by the rate of growth of its gross domestic product (GDP). According to Piana (2001), public expenditure has an immediate impact on GDP. An increase of public expenditure raises GDP by the same amount, other things being equal. Moreover, since income is an important determinant of consumption, that increase of income will be followed by a rise in consumption: a positive feedback loop has been triggered between consumption and income, exactly as in the case of shocks in export, investment or autonomous consumption. In more microeconomic terms, public expenditure may be directed to consumer goods and thus substitute families expenditure, as with the case of health drugs. By contrast, in other cases, as with education, public expenditure may trigger further consumption (books and all the other goods whose consumption depend on culture levels). According to World Bank (2006), gross domestic product is the sum of gross value added by all resident producers in the economy plus any product taxes (fewer subsidies) not included in the valuation of output. It is calculated without deducting for depreciation of fabricated capital assets or for depletion and degradation of natural resources. 1.2 STATEMENT OF THE PROBLEM An economys growth is measured by the change in the volume of its output or in the real incomes of its residents (World Bank, 2006). Therefore, oil exporting countries are said to experience growth due to large influx of income or revenue derived from exports and an opportunity to increase public spending, but most oil exporting countries have poor public sector management, that is, they have had difficulty managing funds with rigid operational rules, as tensions have often surfaced in situations of significant exogenous changes or with shifting policy priorities. Earmarking the resources of oil funds for specific uses, and allowing extra budgetary spending by the funds can complicate fiscal and asset management and reduce efficiency in the allocation of resources. Transparency and accountability practices for funds differ across Organisation of Petroleum Exporting Countries (OPEC) (International Monetary Fund, 2007). This leads to fall backs in the real gross domestic income. This research hopes to show the relationship between revenue from oil exports, overall expenditure and changes in output levels in Nigeria. 1.3 SCOPE OF THE STUDY The scope of the study is on the economic performance of Nigeria. The data used will be obtained from the publication of statistical bulletin of Central Bank of Nigeria (CBN), International Monetary Fund (IMF), and Organisation of Petroleum Exporting Countries (OPEC). It covers the GDP relative to oil exports, public expenditure rates and value of oil exports. 1.4 RESEARCH QUESTIONS In the light of the above, this study is set to provide solutions to the following problems: what is the relationship between oil revenue and government expenditure, what is the relationship between oil revenue and economic performance, and does the way government spends affect the growth level of the country. 1.5 OBJECTIVES OF THE STUDY The main objective of the study is to show interrelationship between public expenditure, oil revenue and economic performance in Nigeria. The specific objectives are to: Investigate the effects of oil receipts to the performance of an economy; Highlight the relationship between oil receipts and public expenditures; and Show the significance of increasing public expenditures to growth of an economy. 1.6 RESEARCH HYPOTHESIS In line with the objectives stated above, the following hypothesis shall be tested: H0: there is no significant relationship between oil revenue and economic growth H1: there is a significant relationship between oil revenue and economic growth H0: there is no significant relationship between government expenditure and economic growth H1: there is a significant relationship between government expenditure and economic growth 1.7 SIGNIFICANCE OF THE STUDY This study is very important and paramount because of the importance of the subject matter on explaining the determinants of economic growth and development in Nigeria. 1.8 RESEARCH METHODOLOGY The study focuses on the relationship between oil revenue, public expenditure and economic performance in Nigeria and due to the nature of the study, secondary data will be used. To carry out an econometric analysis of the study, the Ordinary Least Square (OLS) estimating techniques will be used because it possesses a unique property of Best Linear Unbiased Estimator (BLUE) when compared to other estimating techniques. The OLS method also possesses the desirable properties of un-biasness, consistency, and efficiency. Other parametric tests (such as T-test, F-Test, Durbin-Watson, and others) would also be engaged as research instruments in providing detailed explanations to the results obtained with respect to the hypotheses afore stated. 1.9 SOURCES OF DATA As a result of the format of the research work, secondary data will be used. The data will be obtained from publications of International Monetary Fund, World Bank Development Data center, Statistical data of Central Banks, OPEC. 1.10 DEFINITION OF SOME TERMS Gross domestic product (GDP): the sum of gross value added by all resident producers in the economy plus any product taxes (less subsidies) not included in the valuation of output. International Monetary Fund (IMF): established to promote international monetary cooperation, facilitate the expansion and balanced growth of international trade, and promote exchange rate stability. The World Bank: established as a development bank, providing loans, policy advice, technical assistance, and knowledge sharing services to low- and middle-income countries to reduce poverty. Public Expenditure: is the value of goods and services bought by the State and its articulations. CHAPTER TWO LITERATURE REVIEW 2.1 INTRODUCTION The objective of this chapter is to examine theoretical and empirical literature on the determinants of economic growth and development in Nigeria through the relationship of oil revenue and public expenditure. To this end, the rest of this chapter is organized as follows: Section 2.2 focuses on the relationship between public expenditure, oil revenue and economic growth in other countries, such as, United Arab Emirates, Saudi Arabia, and Venezuela. Section 2.3 focuses on the relationship between public expenditure, oil revenue and economic growth in Nigeria. 2.2 PUBLIC EXPENDITURE, OIL REVENUE AND ECONOMIC GROWTH IN OTHER COUNTRIES Gulf Cooperation Council (GCC) countries have consistently recorded overall fiscal deficits since the early 1980s after oil prices peaked in 1979-81. In addition, with oil revenue accounting for about three-quarters of government revenue in most of these countries, fluctuations in crude oil prices have led to volatile revenue and swings in spending. Following the sharp increase in global oil prices in the 1970s and early 1980s, government spending in all these countries rose as fast as oil revenue through a massive public investment program in infrastructure, fiscal incentives to develop the industrial sector, and the adoption of a generous welfare system. The existence of large foreign official assets facilitated a relatively low level of adjustment in spending in the period 1980-86, when crude oil prices declined significantly. Concerns for sustaining domestic demand in order to stave off a sharp reduction in non-oil growth has usually militated against significant fiscal adjustment in the face of falling oil prices in GCC countries. Spending was only cut by the equivalent to about half the fall in total revenue in Saudi Arabia, 20 percent in the United Arab Emirates, and 10 percent in Qatar. Facilitated by the completion of major infrastructure investments, the cutbacks fell mostly on outlays for projects, while current expenditure rose in all these countries, except in Saudi Arabia. In Bahrain and Kuwait, spending continued to rise across the board. In contrast, in Oman, lower oil revenue was more than offset by higher investment income and fees and charges, leading to a further increase in expenditure in the period. According to Elhiraika and Hamed (2001), economic growth and development in the United Arab Emirate is as a result of government investment in physical and social infrastructure which helped to boost economic activity in general and private investment in specific, a stable macroeconomic environment, which is characterized by low inflation rates and semi-fixed exchange rate, and government policies, availability of capital and absence of restrictions on capital movement together with a high degree of openness opened the door for remarkable growth in foreign trade. With widely fluctuating and generally declining oil prices and revenues in the last two decades, the country has since the mid 1980s exerted notable efforts aimed at achieving economic diversification. These efforts have led to sustained investment in the non-oil sectors, especially in manufacturing and other sectors that are increasingly dominated by private capital. By the turn of the 1990s, non-oil exports and non-oil GDP have exceeded their respective oil counterparts for the first time since the oil evolution began. As a result, the UAE economy has been recently classified as the most relatively well diversified economy in the gulf region (Askari and Jaber, 1999) with an average real GDP growth rate of about 5% for the period 1975-1999. The period from the mid 1970s to the early 1980s was characterized by high growth performance. This was the period when the government directed the surpluses from high oil prices into the physical and social infrastructure. The period from around mid 1980s witnessed significant reduction in economic growth due to a sharp drop in oil prices. Subsequent government austerity measures were directed largely toward capital expenditure for two reasons. First, most of the basic infrastructure projects had by then been completed, and second, most of the current expenditure categories have become long term commitments. The gross domestic investment rate was 34.1% in the 1970s period, declined to 25.6% in the 1980s before rising to 29.5% in the 1990s period. The UAE average growth rate for the whole period is well above that achieved by other Gulf Cooperation Council countries. A notable aspect of domestic investment is the fact that although public investment continues to dominate, the share of private investment has generally been rising remarkably, especially in the 1990s period. Private investment rose from 6.6% of GDP in the 1975-85 period to 11.7% in 1996-98. Meanwhile, the share of petroleum investment in aggregate investment declined from the average of 36% in 1975-89 to 17.7% in 1990-98. While public investment is concentrated on infrastructure and services sector, most of private investment is in the services and real estate sectors. In explaining the private investment behavior in the UAE, Elhiraika and Hamed (2001:13) found that in the long-run, GDP has the largest stimulating influence, followed by bank credit to the private sector and a human capital development variable. The real lending rate and government investments are found to have strong but adverse effects on private investment. In the short-run, GDP, bank credit and investment in human capital still have positive but weak effects on private investment behavior, whereas the lending rate and government investment variables still have significant negative coefficients. The expansion of private investment, both domestic and foreign, is supported by the creation of industrial zones that provide a variety of facilities and services at attractive prices. Sharp rises in non-oil exports that jumped from the average of 19.8% of total exports in 1975-1985 to 61.5% in 1996-1998. By 1992, non-oil exports exceeded oil exports for the first time amounting to about 40% of GDP. The increases in exports are mainly due to re-export. The UAE is the third largest re-export center in the world, after Singapore and Hong Kong. Again liberal trade, absence of capital controls, exchange rate policy, low tariff rates and absence of income taxes may be considered as the major factors contributing to the expansion of the non-oil export sector. A major weakness of the non-oil export sector is the dominance of re-exports over exports. This reflects a rather weak domestic production base than what the trend of total exports suggests. Between 1982 and 1999, re-exports accounted for about 88% of total exports. The re-export sector is expected to face fierce competition from the free trade zones that are rapidly developing in the region, especially in Oman that has a relative advantage in terms of having seaports that are closer to major sea routes. Therefore, sustainable growth in the no-oil export sector would require increased domestic production of export goods. Increased investment in human capital has led to notable increases in the primary and secondary school enrollment ratios, from less than 40% in the 1970s to about 80% in the 1990s. Besides the increased education of the local labor force, educated foreign labor is easily accessible given the relatively high wages paid in the UAE compared to other labor surplus countries in the Middle East and Asia. Immigrant labor accounts for about 70% of the labor force in the country and are generally better educated than the local population. In spite of high fluctuations in oil price and revenue that lead to similar, though smaller fluctuations in real GDP, the UAE economy remained remarkably stable in terms of inflation rates and the exchange rate. Since 1981, the UAE dirham has been fully pegged to the US$ at the rate of 3.67 and the inflation rate never exceeded the average of 2.5% over the period considered. It is believed that because oil is priced in US dollars and because the UAE has huge investments in the US the benefits from the peg in terms of economic stability and reduced macroeconomic uncertainty is greater than the cost arising from inability to use exchange rate policy to promote domestic investment and international competitiveness. There is no hard statistics to support or negate this argument. Since the turn of the 1990s, the consolidated budget (including the federal government and emirates governments) has experienced sustained deficits. According to Hamed and Elhiraika (2001), The UAE government does not rely on fiscal policy tools in achieving macroeconomic stability. Rather it relies mainly on monetary policy tools, particularly the link between the Dirham and the U.S. dollar, to maintain macroeconomic stability, and that the governments of the dominant emirates finance their budget deficits by drawing down their own abundant overseas assets, thereby eliminating inflationary pressures, and avoiding crowding out of private sector activities. This suggests the absence of any important link between macroeconomic performance and the budget deficits, but government spending undoubtedly stimulates private economic activity. According to Siddiqi (1999), in Saudi Arabia, the hydrocarbon sector contributes over 40 percent of the Saudi GDP, and generates 80 percent of government revenues and total export earnings respectively. The slump in oil revenues by over a third in 1998 has led to ballooning twin deficits on the balance of payments and budget, amid a general slowdown in government and consumer spending, as well as falls in fixed investment in the non-oil private sector. The economy, after expanding in 1996-97, may experience a negative growth in nominal GDP for the first time in five years. However, the IMF projects a real GDP growth of 0.4 percent, compared with 2.7 percent in 1997. Total earnings of Saudi banks in the year to September rose 11 percent. This indicates that the business sector after two years of higher liquidity remains in a relatively sound position. But a sustained weakening of world oil prices will sooner or later have deflationary effects on key economic sub-sectors. The economy has benefited from a subdued inflationary environment with consumer price increases averaging only 1.4 percent annually from 1990-98. Zero inflation, projected in 1998, reflects slowing domestic demand, lower non-fuel commodity prices, and cheap Asian imports. A stable/firmer Saudi Riyal (SR) has contained imported inflation. The Washington-based Petroleum Finance Corporation (PFC) projects a budget deficit in 1998 of SR50 billion, or 10 percent of GDP, the highest in a decade, compared to a low of SR6 billion in 1997. As a result, a mildly tighter fiscal policy is now in place; public sector recruitment and salaries are frozen and all ministries have been ordered to curtail spending by 10 percent. Some capital projects and military programmes have either been scaled-down or postponed and the payments period on state contracts has been extended to six months. The government has implemented measures for dealing with revenue shortfall and to cushion the impact on the kingdoms indigen ous 12 million plus population. Government spending a key determinant of business confidence has been sustained by issuing Saudi Special Government Bonds (SSGBs), worth about SR14 billion in the year to October. These SSGBs can be sold by contractors to local banks at a discount. The kingdoms domestic debt, already exceeding 100 per cent of GDP, has increased further because of increasing issuance of Development Bonds and Treasury bills mainly to banks and state pension/social security funds. The well-capitalised Saudi banking sector, with a capital asset ratio of 11.4 percent, is strongly-positioned to meet credit demands from state and private sectors. Analysts say about SR19 billion of shortfall can be covered by domestic borrowing and cutting public expenditure (mostly on defence). In Venezuela, the first commercial drilling for oil occurred in 1917 and by 1928; it was a leading exporter of oil (United States Library of Congress, 82). During this period Venezuela can be characterized as a dictatorship. By 1930, oil represented 90% of the export revenue in Venezuela. In 1948 a fifty percent royalty rate was introduced. This royalty rate revenue was to be used in sowing the oil to stimulate agriculture primarily and later industry. Prior to oil the coffee industry had been the main export in Venezuela. Oil revenues had clearly taken first place in Venezuela however the countrys people remained relatively poor. A democratic government took power in 1958 and swiftly intervened in the economy using the oil revenues. In 1960 the government made two significant movements; it began to create regional development corporations to decentralize planning and it became one of the founding members of OPEC. Throughout the 1960s Venezuela spent money on education, health, elect ricity, portable water, and other basic projects. This led to a 25% increase in per capita income by 1973. However when the world price of oil soared during the seventies and so did the Venezuelan governments spending. In the years between 1973 and 1979 the government spent more than it had since its independence in 1830. The oil industry was nationalized in 1976. Government spending steadily increased because of increased surges in oil revenue. Negative growth rates characterized Venezuela during 1980-1982. By 1983 oil revenues could no longer support the spending on government subsidies, price controls, exchange-rate losses, and the operations of more than 400 public institutions. In 1983 the government attempted to reform the economic downturn through devaluations of the currency and a multi-tier exchange-rate system. However, this did little to stall the impending crisis and the 50% reduction in the price of oil in 1986 did nothing to help the situation. In 1989 the IMF stepped in with loans and the price increases related to the reforms necessary for the loans caused rioting and the worst violence the country had seen since it became a democracy. The increase in the price of oil in the 1970s caused Venezuela to be affected negatively although its peak oil production point had already been reached in 1970. Because of the increase in the price of oil the government relied completely on oil revenue and like Mexico, was reluctant to take steps to prevent a crisis. The IMF had to impose the increases in domestic prices necessary to complete the cycle that played out. Protectionism through government subsidies and spending held domestic prices low enough to remain competitive imports. In this sense Venezuela was escaping Dutch Disease. However, these prices were supported not through true market value but through borrowing and extra revenue. As soon as those avenues shut down so did the governments ability to control domestic prices. The sudden jump in prices imposed by the IMF caused a recession so severe that rioting was induced. Another case of the lack of value-added industry creation led to the eventual downfall of an economy given the opportunity to grow. Bourguignon and Gelb (1988) suggest that the stagnation of the Venezuelan economy started after 1978, coinciding with the second oil shock in 1979. According to their calculations, the non-oil sector did not seem to gain from the 1970s windfall. They further argue that inappropriate economic policies resulted in steep declines in private investment and massive capital flight. Combined with a large upsurge in consumption during the decade of revenue windfall, these effects meant that Venezuela was subject to severe internal and external imbalances that ultimately lead to its decline in economic performance. 2.3 PUBLIC EXPENDITURE, OIL REVENUE AND ECONOMIC GROWTH IN NIGERIA According to Adedipe (2004), by the time Nigeria became politically independent in October 1960, agriculture was the dominant sector of the economy, contributing about 70% of the Gross Domestic Product (GDP), employing about the same percentage of the working population, and accounting for about 90% of foreign earnings and Federal Government revenue. The early period of post-independence up until mid-1970s saw a rapid growth of industrial capacity and output, as the contribution of the manufacturing sector to GDP rose from 4.8% to 8.2%. This pattern changed when oil suddenly became of strategic importance to the world economy through its supply-price nexus, Crude oil was first discovered in commercial quantities in Nigeria in 1956, while actual production started in 1958. It became the dominant resource in the mid-1970s. On-shore oil exploration accounts for about 65% of total production and it is found mainly in the swampy areas of the Niger Delta, while the remaining 35% represents offshore production and involves drilling for oil in the deep waters of the continental shelf. Nigeria has proven reserves of about 32 billion barrels of predominantly low sulphur light crude, which at current rate of exploitation could last another 38 years. The intention is to expand the reserves to 40 billion barrels and production capacity to 4 million barrels per day (mbd). The massive increase in oil revenue as an aftermath of the Middle-East war of 1973 created unprecedented, unexpected and unplanned wealth for Nigeria. Then began the dramatic shift of policies from a holistic approach to benchmarking them against the state of the oil sector. Now, in order to make the business environment conducive for new investments, the government began investing the newfound wealth in socio-economic infrastructure across the country, especially in the urban areas. As well, the services sector grew. This shows that as government increased as a result of increases from oil, government expe nditure also increased. The Nigerian labour market has been characterized by high rate of unemployment, low wage and poor working conditions. This unwholesome situation evolved after the oil boom of the 1970s and remained so till date. Prior to the oil boom, the Nigerian economy was largely agrarian and about 70% of the working population was engaged in agricultural activities in the rural areas. Wage rates were also comparable to international standards and the average Nigerian worker could afford decent living. In the 1960ies, the emphasis of employment policies was that of shifting labour from the agricultural sector to the manufacturing sector. This appeared to be the natural path of economic growth and development, following the experienced of the developed countries. However, the Nigerian peculiarities of land tenure system, tenancy and the very rudimentary processes of farming made it extremely difficult to deploy substantially advance technology in the sector. Moreover, at that time economic policie s concentrated more on the development of the manufacturing sector, under the much touted import-substitution strategy. Rather, labour moved from the agricultural sector to the services sector, with little productivity gains. Both agriculture and manufacturing lost out. The oil boom started the rural-urban drift of the population, depleting the rural population and adversely affecting agricultural output. Rising revenue profile of Governments created the illusion that job creation is a primary function of the public sector. Nigerian Governments embarked on ambitious expansion programmes in secondary and tertiary education. Quality research could be conducted, as adequate funding support was available. Education was strictly treated as a social service, which should be provided at little or no cost to the beneficiaries as a matter of right. This mindset precipitated the crisis of 1978, when the Federal Government introduced tuition fees in its universities. The decrease in oil revenue affected funding of tertiary education, necessitating a policy shift that has been difficult for the operators of the system to come to terms with. Attempts to raise fees are being resisted, while the private sector funding support that could lessen the burden is not forthcoming. In particular, the curriculum design of many of the institutions is dated and not so relevant to the needs of prospective employers. Most of the products therefore, end up in the labour market and have difficulty securing jobs because they need further training to be able to fit properly into the corporate world. The weak economy itself choked out several business enterprises and curtailed employment opportunities. Staff retr enchment became pervasive, starting first in the private sector and later the public sector. CHAPTER THREE THEORETICAL FRAMEWORK AND METHODOLOGY 3.1 INTRODUCTION In previous chapters of this study, we looked at how the relationship between public expenditure and oil revenue affect growth in Nigeria and other oil exporting countries. Based on these reviews, one would know the level of importance attached to them, being an important macroeconomic issue that affects the pace of growth and development of an economy. Therefore, in this chapter of the study, we shall be looking at the various theories of the subject matter as propounded by different schools of thought. We shall be placing oil revenue and public expenditure in a functional relationship to see their level of significance to economic performance of Nigeria. To this end, this chapter is divided into the following sections. Section 3.1 is the introductory part while 3.2 focuses on the theoretical background, 3.3 focuses on methodology while 3.4 is concerned with the sources of data and the type of data used in the study. Section 3.5 is concerned with the estimation technique of the model that shall be stated in the study. 3.2 THEORETICAL BACKGROUND In this part three different models of economic growth will be introduced, Solows neo-classical theory, endogenous growth model and Harrod-Domar model. 3.2.1 Solows Neo-classical Theory The Solow theory believes that

Friday, September 20, 2019

Properties Of Distributed Systems Information Technology Essay

Properties Of Distributed Systems Information Technology Essay A distributed system consists of multiple autonomous computers that communicate through a computer network. The computers interact with each other in order to achieve a common goal. A computer program that runs in a distributed system is called a distributed program, and distributed programming is the process of writing such programs. Distributed computing also refers to the use of distributed systems to solve computational problems. In distributed computing, a problem is divided into many tasks, each of which is solved by one computer The word distributed in terms such as distributed system, distributed programming, and distributed algorithm originally referred to computer networks where individual computers were physically distributed within some geographical area. The terms are nowadays used in a much wider sense, even referring to autonomous processes that run on the same physical computer and interact with each other by message passing. While there is no single definition of a distributed system, the following defining properties are commonly used: There are several autonomous computational entities, each of which has its own local memory. The entities communicate with each other by message passing. A distributed system may have a common goal, such as solving a large computational problem. Alternatively, each computer may have its own user with individual needs, and the purpose of the distributed system is to coordinate the use of shared resources or provide communication services to the users. Other typical properties of distributed systems include: The system has to tolerate failures in individual computers. The structure of the system (network topology, network latency, number of computers) is not known in advance, the system may consist of different kinds of computers and network links, and the system may change during the execution of a distributed program. Each computer has only a limited, incomplete view of the system. Each computer may know only one part of the input. PROPERTIES OF DISTRIBUTED SYSTEMS So far the focus has been on designing a distributed system that solves a given problem. A complementary research problem is studying the properties of a given distributed system. The halting problem is an analogous example from the field of centralised computation: we are given a computer program and the task is to decide whether it halts or runs forever. The halting problem is undecidable in the general case, and naturally understanding the behaviour of a computer network is at least as hard as understanding the behaviour of one computer. However, there are many interesting special cases that are decidable. In particular, it is possible to reason about the behaviour of a network of finite-state machines. One example is telling whether a given network of interacting (asynchronous and non-deterministic) finite-state machines can reach a deadlock. This problem is PSPACE-complete,[39] i.e., it is decidable, but it is not likely that there is an efficient (centralised, parallel or distributed) algorithm that solves the problem in the case of large networks. SECURITY ISSUES IN ADAPTIVE DISTRIBUTED SYSTEMS In the contemporary society, distributed systems have a significant impact on how communication between social, industrial and governmental institutions is achieved. Dealing with the complexity, heterogeneity and dynamics of distributed systems is absolutely among the main concerns of the software industry. In the Internet era, the distribution of information and services on different sites is a common and dominant scenario. Hence, accessing information and services on remote sites requires high-level of system quality: acceptable response time (at least à ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬Ãƒâ€¦Ã¢â‚¬Å"near real-timeà ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬Ã‚ ); and security mechanisms. These aspects require inherent adaptation of the system to changes in the environment. In the case of ADSs, the challenge to maintain system quality is even greater. In general, security issues in distributed information systems, whether adaptive or not, is already a serious concern. There are many types of threats, among them those occurring during communication and those in the form of unauthorized attempts to access stored information. Solutions proposed to address these problems in distributed systems may contribute to the implementation of security mechanisms in ADSs. On the other hand, if a token ring is used to achieve mutual exclusion in data communication, then a loss of token might be a result of unauthorized monitoring of the token, which is a direct consequence of the distributed system being adaptive and having monitoring component. Moreover, data resubmission might be requested by authorized parties that couldnà ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬Ãƒ ¢Ã¢â‚¬Å¾Ã‚ ¢t receive the data. Such a request might also come from malicious intruders that are requesting resubmission of data to get a copy. The kind of environmental changes that can be monitored in ADSs include, but are not limited to, processor and link failures, changes in communication patterns and frequency, changes in failure rates, and changed application requirements. Security metrics indicate the degree to which security goals such as data confidentiality are being met, they propose actions that should be taken to improve the overall security program, and identify the level of risks in not taking a given action and hence provide guidance in prioritizing the actions. They also indicate the effectiveness of various components of a security program. Developing effective security metrics programs has proven to be very challenging. A number of factors have contributed to this collecting the necessary data is difficult and there are no well-established and standardized guidelines. Swanson et al. (2003) identified elements that must be considered in defining effective security metrics, metrics must yield quantifiable information, supporting data must be readily obtainable, only repeatable processes should be considered for measurement, and metrics must enable tracking of performance. Voas et al. (1996) propose a security assessment methodology, called a daptive vulnerability analysis (AVA), which provides a relative measure of software security. The methodology is based on measurement of security weaknesses in terms of predetermined set of threats that are frequently encountered. The resulting metrics may vary with different set of threats and hence the methodology is called adaptive. Its major advantages include, among others, its ability to be customized to application-specific classes of intrusions and the fact that it measures dynamic run-time information. The fact that it is based on a predetermined set of threats is among the major limitations of AVA. Payne (2001) proposes a guideline that should be closely followed in the development a security metrics program. The guideline consists of several steps: clear definition of security goals and objective, decision about what metrics to generate and strategies for generating them; create action plan, and establish a formal program review cycle. Following this guidance enables us to clarify the why, what and how of developing security metrics. In the sequel, we focus on the metrics that should be generated to quantify the level of security threats that could be caused due to monitoring of a target system to achieve the level of adaptation necessary to maintain quality of services. ADAPTIVE DISTRIBUTED SYSTEMS Distributed systems that can evolve their behaviors based on changes in their environments are known as Adaptive Distributed Systems (ADSs). Adaptation usually takes place on different sites in a distributed system and needs to be coordinated. Adaptive systems monitor and evaluate their environments and can adapt their own behaviors when there is a change in the environment. On the other hand, adaptive behavior is the field of science where the underlying mechanisms of adaptive behavior of animals, software agents, robots and other adaptive systems are investigated into. The results from adaptive behavior research are exploited for building artificially intelligent adaptive systems. In this case, we envision distributed systems within the context of artificially intelligent adaptive systems and we therefore believe that the research progress in adaptive behavior will affect the research in ADSs. That is, monitoring, change detection and behavior adaptation components of an adaptive distributed system will become more intelligent in time. An ADS better knows what is happening in its environment by detecting and evaluating the changes in the environments and adjusting their actions to the changes more intelligently. However, the more intelligent and adaptive a distributed system becomes through its monitoring and other components, the more risky it becomes that the intruders act more severely in a distributed environment if the monitoring component is overtaken by them. In the following paragraphs, we are giving a brief survey on ADSs. Leonhardt et al. (1998) indicate that security is an issue that appears where activity is being tracked, namely by the monitoring system they have proposed. For that reason, in this work, we look into the levels of knowledge a monitoring system might eventually have about its environment while becoming more adaptive, and whether the level of knowledge and the properties of the knowledge being monitored would cause any security issues compared to the distributed systems which are not adaptive. Russello et al. (2005) described how adaptation is done for dynamical replication for managing availability in a shared data space. The idea is that if replication is require d, the middleware should offer mechanisms that would allow the application developer to select from different replication policies that can be subsequently enforced at runtime. There is an adaptation subsystem where the environment conditions are monitored. It is detected when to switch to another replication policy automatically. The execution environment conditions which are monitored are cost of communication latency and bandwidth, especially when external monitoring subsystem is used. Silva et al. (2002) developed a generic framework for the construction of ADSs. The model is composed of three main packages. In the monitoring package, system specific parameters, such as processor utilization, in the various hosts of the distributed system are monitored. This package informs the event detection and notification package whenever values of such parameters change significantly. In addition to this, interceptors as used in the CORBA distributed system standards are inserted into the object invocation path. Each time a client invokes a method of an object, the message corresponding to this invocation is intercepted and later re-dispatched to the target object . Using interceptors, the system can extract useful information from each method invocation storing it in a log file for analysis by the event detection and notification package. On the other hand, dynamic configuration package, depending on the type of the event, executes the appropriate algorithm that defines actions that should be taken in order to adapt the application to the new environment condition. As stated in (Al-Shaer 1998), monitoring system can be used to detect and report security violations such as illegal logins or attempts of unauthorized access to files. On the contrary, we argue that if the monitoring subsystem is overtaken by an intruder, the monitoring system can also be used for causing security violations once an intruder has knowledge about login information and file authorizations to be able to report illegal logins and attempts of unauthorized access to resources.

Thursday, September 19, 2019

Franz Haydn Essay -- Music Composer Haydn Biographies Essays

Franz Joseph Haydn Joseph Haydn is regarded as one of the greatest composers of the classical period. He is often called the father of both the symphony and the string quartet, and he founded what is known as the Viennese classical school, which consisted of himself, his friend, Wolfgang Mozart, and his pupil, Ludwig van Beethoven. During his lifetime, he produced a mind-boggling amount of music. He lived from the end of the baroque period to the beginning of the romantic period, and presided over the transition between them. Franz Joseph Haydn was born in Rohrau, Austria, on April 1, 1732, to Mathias and Anna Maria Koller Haydn. Joseph Haydn's parents had twelve children, but, sadly, six of them died during infancy. His surviving siblings included two brothers, Johann Evangelist and Johann Michael, and three sisters, Anna Maria Franziska, Anna Maria, and Anna Katharina. Many references give March 31 as Haydn's birthday, but official records disprove this. It is rumored that his brother, Michael, was the source of this inaccuracy. Supposedly, Michael didn't want it said that his big brother came into this world as an April Fool. At age seven, young Joseph entered the choir school at St. Steven's Cathedral in Vienna, where he was to remain for the next nine years. During his early years, he became interested in composing music, but he had no formal training until his late teens, when he worked for Italian musician and composer, Niccolà ² Porpora. He avidly studied music, including the works of C. P. E. Bach, and held several music-related jobs in Vienna during the 1750's. His earliest composition, Missa Brevis in F, comes from this period, as does Der Krumme Teufel (The Lame Devil), a burlesque opera, which Haydn composed in 1752. This opera was banned shortly after it's opening, however, because a local nobleman thought that the main character was his caricature. Then, in 1758, Haydn got his first regular musical job as musical director to Count Ferdinand Maximillian von Morzin in Lukavec, Bohemia, where he wrote his first orchestral compositions. The Morzin orchestra performed Haydn's first symphony, which he conducted from the harpsichord. On November 26, 1760, he married Maria Anna Keller. Maria Anna, who was Joseph's elder by four years, was bad tempered, disliked music, and was unable to clean the house or bear children. She enjoyed makin... ...s of his death spread, and, because of the invasion, his funeral went largely unnoticed. His remains were moved several times after his death, and his body now rests in Eisenstadt. During his lifetime, Joseph Haydn composed 107 symphonies, about 50 divertimenti, 84 string quartets, about 58 piano sonatas, and 13 masses. In all, his surviving musical works include over 750 compositions and over 330 songs. (A large number of Haydn's works were destroyed in the 1770's, so these totals would be even higher had it not been for the two fires.) He produced such an abundance of works during his long career that a man named Anthony von Hoboken compiled a directory of the master's works, the title of which translates to Joseph Haydn - Thematic-bibliographic Listing of his Works. This three-volume directory was so helpful in sorting through the massive quantity of music that most of Haydn's works are now known through their Hoboken reference number as well as their title. Undoubtedly, Franz Joseph Haydn is one of the greatest composers of all time. His music, widely acclaimed during his day, has since made him immortal. Very few can stand shoulder to shoulder with this great master.

Wednesday, September 18, 2019

Australia :: essays research papers

Australia Australia is the world's smallest continent and sixth-largest country. With proportionately more desert land than any other continent, Australia has a low population density. Lying completely in the Southern Hemisphere, Australia is bounded by the Indian Ocean on the west and south and by the Pacific Ocean on the east. These oceans merge on the north in the Arafura Sea between Australia and Indonesia and New Guinea, and on the south in the Bass Strait. The coastline length, estimated at 19,200 km (12,000 mi), is remarkably short for so large an area, a result of the relative lack of indentation. Major inlets other than the Gulf of CARPENTARIA and the GREAT AUSTRALIAN BIGHT are few. A self-governing member of the Commonwealth of Nations, Australia celebrated its bicentennial in 1988z. It is a federation of five mainland states (NEW SOUTH WALES, QUEENSLAND, SOUTH AUSTRALIA, VICTORIA, WESTERN AUSTRALIA) and one island state (TASMANIA), as well as two territories (AUSTRALIAN CAPITAL TERRITORY, NORTHERN TERRITORY). The country's name derives from the Latin terra australis incognita, meaning "unknown southern land," which resulted from a confusion between Australia and Antarctica on early world maps. In many ways Australia is unusual among continents. It lacks major relief features and has a high proportion of dry land. The continent's isolation from other landmasses accounts for its unique varieties of vegetation and animal life, and for the existence of a Paleolithic (Old Stone Age) culture among the Aborigines. Except for Antarctica, Australia was probably the last continent to be inhabited by humans and the last to be explored and settled by Europeans. It is the only continent comprising a single nation-state. Dutch explorers first sighted Australia in the early 17th century. Capt. James COOK explored the east coast in 1770 and claimed the land for Great Britain. In 1778 the first settlement (SYDNEY) was founded at an excellent harbor on the

Tuesday, September 17, 2019

Accounting 310 Unit 3db Activity Based Costing & Process Costing

Compare and contrast job order costing to process costing methods. Comparison: These systems are to determine the manufacturing costs of products. Both costing systems combine direct materials, direct labor and overhead which is indirect costs or could be considered a direct cost in the process costing method nonetheless both systems use this in the process of producing products. The manufacturing accountants assign cost objectives to raw materials inventory, work in process inventory and finished goods. These systems are necessary to determine inventory, profit and the units that are sold and the price for them. The cost flows through the general ledger accounts for direct materials, direct labor and overhead is also the same. Contrast: Job order costing is for customized orders to meet the specific needs of a customer. This type of manufacturing doesn’t take place until the customer puts in a request for items. This process involves the company predicting the cost to get the job done, negotiating a price with the customer and then set out a timeframe to start and complete the job order. Wild & Shaw, 2012) Job order costing tracks specific costs to specific jobs it could be a single unit or a small amount of similar units. Records are maintained on a job cost sheet for each job. The job cost sheet shows the customer the job number assigned, product and key dates. (Wild & Shaw, 2012) In essence, job order costing is for companies that produce different products in small amount s. Process costing method focal point is for high volume of one type of product or many similar products. Manufacturing of products takes place through a synchronized process. Processing is based on demand that is forecasted by managers not based on customized orders like job order processing. For example, Avon Products, Inc manufacturing facility is located in a suburb of Chicago and they use process costing method to produce lotion and makeup. Also, worth mentioning is that direct materials, labor and overhead are assigned to departments. It focuses on departmental functions and the job cost sheet tracks cost for units within several related departments. What kind of system works best in what kinds of companies? Job order processing system works best for companies that are producing multiple items that may vary in size or color and is used best for customized production. Companies that produce t-shirts, wedding invitations or airplane manufacturers are good examples of businesses that use this type of system. This system worked well for a previous plumbing company I worked for, the client will tell the plumber the problem, he would then negotiate a price and sometimes the client wouldn’t be happy with the price and he would have to decline the offer or possibly lower his offer. Afterwards, he would setup a time and date to get started and would tell them when he would be finished, however he required his payment upfront sometimes and with larger jobs the client would pay a deposit upfront and he would use that to purchase materials or pay his laborers and the remaining balance was due once the work was complete. Cost processing system works well with companies that have a series of steps that has to be done repetitively in order to complete a task. Companies like Avon that produces cosmetics, Pepsi that produces soft drinks and Hershey that produces chocolate use this type of system. What kind of system makes sense for your company, given that you plan to start with only one version of your product but at some point in the future may offer a variety of options? Since there is a standard design, one type of product at this time the processing cost method would be the best fit so that one product is no different from the other. It will be able to produce large number of units on a continuous basis and all units will pass through a similar process. Wild & Shaw, 2012) This methodology makes more sense for my company because it is producing homogenous products, there is no need for flexibility and a high volume needs to be produced quickly. Each department will be responsible for producing a certain output that will then become input for another department and this will happen in sequence. In the future we will continue with process as well just like with Pepsi and Avon they started out with one product and overtime added additional products to their line of service. References AIU Online. (2010). ACCT310: Unit 3: Process vs Job Order Processing [Multimedia presentation]. Retrieved from AIU Online Virtual Campus. Managerial Accounting: ACCT310-1103B-04 website Job order costing and processing compared. (2010-2011). Retrieved from http://worldacademyonline. com/article/13/271/job_order_costing_and_process_costing_c ompared. html Internal Accounting Engineering: System Requirements, Job Order System. (n. d). Retrieved from http://www. internalaccounting. com/jobcost. Wild, J. J. & Shaw, K. W. (2012). Managerial Accounting. (3rd ed. ). New York, NY: McGraw Hill Irwin

Monday, September 16, 2019

Ford Motor Company and Ambition

Dusty Bowles Mrs. Farmer English 102 10 September 2010 Ambitions As I started out to write a paper based on ambition I had to question myself what ambition really was. What makes people get that extra push to be ambitious, and what are the advantages and disadvantages of being an ambitious person? At first, I must admit it was very difficult to comprehend. In the American Heritage dictionary it states that ambition comes from the Middle English word â€Å"ambicioun,† meaning â€Å"excessive desire for honor, power, or wealth. † After reading this meaning I understood what was stated, but it still did not make a clear meaning to me what ambition was.I have found that after reading a quote by Henry Ford my understanding started to all come together. Henry Ford once quoted, â€Å"Whether you think you can or can’t, you’re right. † This quote in itself explains to me that it is a self motivated decision made by one individual. It is ambition that makes us think we can be successful, and lack of ambition that makes us think that we cannot. Many people have different ambitions in life so the word ambition would have different meanings depending on which you ask and how one defines it.An ambition is an eager, and sometimes an inordinate desire for honor, superiority, leading power, or the attainment to seek a goal that is immensely desired. Ambition is something that anyone, no matter his or her age or cultural background has instinctively. Ambition can push towards a driven force for success or in altering views a road to failure. Without an ambition we, human beings, have no purpose to be self driven individuals. Ambition in other words is that motive force needed to propel all to work towards our cherished goals in which we set.Ambition is the explosive inner force that has led many people from all walks of life to make a new path, set a new vision. Ambitious people are those with the hopes of one day conquering their ambition. Am bitious people are confident and because of this, they feel there is nothing that they cannot accomplish. There are many people from many different parts of life that have had ambitions and accomplished them. For example, Donald Trump is someone I admire and is a very ambitious person in my book. Trump is listed as number 33 on the Forbes Top 100 list. Trump did not start out as successful as he is today.Back in Trump’s prime he set ambitions to achieve for what today we call his success. Trump started out going to school and got a degree in â€Å"Bachelor of Science in Economics with concentration in Finance. † School was just the start of Trumps ambitions to learn more, today he is a very successful business executive and entrepreneur. Donald Trump is someone that I respect and gives me that extra push when reading his autobiography. Being able to know that ambitions all start out as a dream until someone makes them a reality makes the possibilities endless. Ambition s can be as easy as a thought away from what the actual turnout can be.To me ambition is a burning desire to achieve ones goals or succeed. Ambition in my theory is related to dedication, motivation, and time. At my age, twenty years young I have many ambitions to achieve in a set period of time. For starters my education, I would like to complete my Bachelors in Marketing with a minor in Finance within the next four years. Time motivates me to achieve my ambitions because I strive to be well accomplished by the age of twenty-five. Ambitions are a big part of my young adult life because I would like to accomplish a lot of things before I get older.Without ambition I cannot achieve a greater milestone in my walk. Everyone has a chance to tell you their own personal story based on their walk. Without ambitions one cannot achieve a greater tomorrow. Understanding the limitations and compromises that come with obtaining any ambition is overwhelming. Putting forth and obtaining an ambiti on is self constructed. With hard work, experience, and overall self control, ambitions are not too far out of reach for any person to grasp. Any one person can achieve their ambitions if they set their mind to it and that gives me the reassurance that I can make it.Depending on whom you ask lets us knows the trials and tribulations one goes through while accomplishing their ambitions. After reading Donald Trumps story and the simple quote by Henry Ford that turned the light bulb in my head on, my understating of ambitions became clear. Ambitions can all be the same or they can all be different. Everyone has their own ambition and how to accomplish them. If one has ambition, one can achieve any goal.Works Cited â€Å"Ambition | Define Ambition at Dictionary. com. †Ã‚  Dictionary. com | Find the Meanings and Definitions of Words at Dictionary. om. Web. 10 Sept. 2010. . â€Å"Donald Trump: Biography from Answers. com. †Ã‚  Answers. com: Wiki Q&A Combined with Free Online Dictionary, Thesaurus, and Encyclopedias. Web. 10 Sept. 2010. . â€Å"#33 Donald Trump – Forbes. com. †Ã‚  Forbes. com – Business News, Financial News, Stock Market Analysis, Technology & Global Headline News. Web. 10 Sept. 2010. . Google, By. â€Å"†Whether You Think You Can or Can't, You're Right†Ã¢â‚¬â€œHenry Ford |Strategic Business Lawyer. †Ã‚  Small Business Advice from the Champions of Small Business. 23 Jan. 2006. Web. 10 Sept. 2010. .

Sunday, September 15, 2019

Can Military Force Promote Humanitarian Values?

Abstract Recent years have seen an increase in humanitarian interventions which have involved military operations. However is it feasible that the two operations, military and humanitarian are compatibleThis paper investigates whether this is the case and, to do so, assesses military force in terms of the values which underpin humanitarianism. This paper utilises a case study from the Libyan conflict to assess whether there is a politicised nature in the push for military led humanitarian operations, and examines whether there is a political undertone in the increased usage of military forces. It is argued that this undertone serves to undermine the possibility that military forces can promote humanitarian Introduction For several decades, humanitarian intervention has been a factor in military operations. This paper examines whether military forces can promote the values of humanitarianism during aid operations. To do so this paper will examine a number of elements and seeks to define humanitarianism. In doing so, the question of what role military forces can play is considered. This includes, for example, where military forces are deployed to affected regions or states and the role which they have been asked to conduct. This paper investigates whether the underlying aims of military forces are compatible with that of humanitarianism. This paper argues that they are not and that recent years have seen developments where military action has been wrongly justified on the grounds of humanitarian intervention. What is Humanitarianism? The concept of humanitarian intervention which utilises military force can be classed as a subjective one. Whilst some commentator’s class military led humanitarian interventions as being â€Å"the use of military force to protect foreign populations from mass atrocities or gross human rights abuses† (Waxman, 2013), others such as Marjanovic (2012) define the action as being â€Å"a state using military force against another state when the chief publicly declared aim of that military action is ending human-rights violations being perpetrated by the state against which it is directed†. Yet despite the subjectivity, there is a series of components which can be extracted from these various definitions. These components include: a form of war or conflict, the potential that non-combatants will be negatively affected by this conflict; and where human rights abuses are considered to be taking place In essence, there are a number of factors which should be present when military led humanitarian assistance is being considered. Weiss (2012: 1) argues that there is an underlying notion of a â€Å"responsibility to protect† and that this has a tendency to dominate modern geo-political thinking, but instead it is arguable that the global community can be accused of cherry picking where it seeks to intervene. Weiss had previously argued that any intervention should incorporate aspects of post conflict redevelopment programming (Minear & Weiss, 1995), yet since the perpetuation of military led humanitarian interventions, he has reconsidered his perspective to argue that such actions should now constitute â€Å"activities undertaken to improve the human condition† (Weiss, 2012: 1). This latter inclusion indicates that the shift in conflict dynamics, from one which is largely based on conventional warfare to the usage of non-state actors and combatants in an asymmetric conf lict zone has been a party to Weiss’s new perspective. Where values are considered, the International Committee of the Red Cross (ICRC) (2013) argue that these incorporate aspects of humanity, impartiality, neutrality and independence. Essentially, therefore, it can be argued that where military forces are deployed to support humanitarian operations that it is essential they act according to these guiding principles. Role of the Military in Humanitarian Interventions Recent years, particularly since the end of the Cold War (Pattison, 2010), have seen military operations to support humanitarian interventions in a number of collapsed or failed states. These include, but are not limited to, Iraq, post-Gulf War One (1991 – 2003), Bosnia – Serbia (1995), Kosovo (1999), East Timor (1999) Somalia (2002), Haiti (2004), and Libya (2011) whilst other humanitarian interventions which have required military assistance can be considered to have taken place in post conflict Iraq and Afghanistan (Pattison, 2010). Weiss (2012) argues that the concept of humanitarian intervention has increased the potential for interventions into states in order to protect non-combatants from conflict. Contrary to this, the earlier reference to cherry picking provides a casing point when the political discourse which took place at the United Nations (UN) Security Council in relation to the ongoing conflict in Syria can be considered to be a case where the window o f opportunity for intervention has now closed, particularly since this conflict has led to the involvement of Islamic State and the Kurdish Peshmerga (Dagher, 2014). Increase in Military led Humanitarian Operations As stated, recent decades, particularly since the end of the Cold War, have seen a rise in the numbers of ethnically charged conflicts and where humanitarian interventions have been considered as necessary (Kaldor, 1998). In a review of this era, Kaldor noted that there had been a change in the dynamics of conflict and that the underpinning issue was of a series of belligerents and combatants which were not constrained by international regulations, such as the Geneva Convention protocols, Laws of Armed Conflict or relevant United Nations Charters (Kaldor, 1998). This changed dynamics has perpetuated and has spread to a number of conflict zones around the world, but has also seen a rise in the usage of conventional forces to support non-governmental organisations (NGOs). Similarly, Christoplos, Longley, and Slaymaker (2004) also noted a changed emphasis in humanitarian aid provision during this era. They argued that the underpinning programmes have been utilised to create a tripartite system of humanitarianism which incorporates rehabilitation (for both state and society), development of state and social infrastructures and relief programmes which provide for maintaining civil society during crisis periods. This particular perspective reinforces a belief that military interventions can help NGOs deliver aid by providing security (Seybolt, 2007). Nevertheless the incorporation of military activity into this mix has also resulted in a further complication since military operations deploy to aid zones with a preposition of maintaining operational security. This includes the potential for combating belligerent forces where such a need exists (Davidson, 2012). Stability Operations Global Humanitarian Assistance (GHA) (2013) argues that the first decade of the twenty first century has seen a near trebling of military support for NGOs in countries which have been affected by war, natural disaster or where the state infrastructure has been affected sufficiently that it is unable to assist with recovery programmes. GHA also note that peacekeeping operations have increased at a similar rate, particular in the years discussed earlier by Kaldor (1998) to the present day. UK military doctrine emphasises that any military activities which has a humanitarian focus should incorporate stability operations (Ministry of Defence, 2011). In clarifying this position, the UK Ministry of Defence added that: â€Å"The peacekeeper fulfils a mandate with the strategic consent of the main warring parties, allowing a degree of freedom to fulfil its task in an impartial manner, while a sustainable peace settlement is pursued.† (Ministry of Defence, 2011: 1.1). Such a perspectiv e indicates that the simple inclusion of additional personnel to assist NGOs is not the primary role of military forces but instead is indicative of a more political role which is intended to shape the political landscape of the affected region or state where assistance is being provided. This aspect does not sit comfortably with the principles of humanitarianism as espoused by NGOs such as the ICRC (2013). This perspective is further enforced when it is noted that the Ministry of Defence cannot rule out military action during humanitarian operations. Doctrinal papers evidence that military operations will also incorporate war fighting components as well as security duties. This was the case in Afghanistan, which was a stabilisation operation during which the UK military â€Å"had the consent of the host nation government but no other warring party (Afghanistan: Taliban 2001 – present) [†¦] A military force may decide in such situations that the defeat of a specific enemy is essential to the success of the operation.† (Ministry of Defence, 2011: 1.1). Essentially, therefore, there is a political perspective which can serve to undermine any arguments of altruism during a humanitarian operation which is supported by military efforts. Should Military led Humanitarian Interventions be justified? The UN backed military operation in Libya during its recent uprising and civil conflict was arguably mandated via humanitarian intervention based upon aid relief and assistance (United Nations, 2011). However it is arguable thatthat this particular intervention was politically motivated since it is evident that the Gaddafi regime had previously irked those states (USA, UK & France) which were at the forefront of the military aspect of intervention (Boulton, 2008). The argument put forward by the trio of states sought to ensure a quick resolution to the conflict and that a perpetuation of the conflict would lead to a humanitarian crisis. Kuperman (2011) notes that Resolution, 1973 allowed for a number of additional practices by military forces. These included, for example, allowing intervening forces to stabilise the Libyan conflict, to assist the undermining of the authority of the Gaddafi regime and to help bring the conflict to a swift conclusion. To achieve this Kuperman (2011) no tes that Libyan state financial and economic assets were frozen, the regime was also subjected to an arms embargo (Kuperman, 2011). It is also to be noted that the USA, France and the UK also operated outside of the mandate provided by the UN by deploying private military contractors to fight alongside insurgents seeking to overthrow the Gaddafi regime (RT News, 2012). That said, the Libyan conflict has not ended and continues to dominate local Libyan politics and society. This outcome serves only to undermine the utilitarian role of humanitarianism. It is fair to suggest that the actions by military forces were more political than humanitarian and served only to perpetuate the US led policy of regime change. This is a factor which Williamson (2011) argues has resulted in military planners utilising military force within humanitarian relief efforts and which has served only to muddy the political and societal dynamics of any affected zone. Williamson’s (2011) argument can be considered in tandem with the British military doctrine which refuses to rule out combat efforts but in relation to the post-Cold War era which has seen non-state combatants realign the battlefield to one which compares directly to a counter insurgency warzone (US Government, 2012). Legal Issues Where the Libyan case study is considered, it is worthwhile noting that, previously, Goodman (2006) had argued that there is a clear contradiction between military interventions into any state using a guise of humanitarian purposes. Goodman (2006) furthers his argument by stating that there is no legal justification for a unilateral humanitarian intervention into another country, and that it is highly unlikely that such a move will ever be likely. The rationale behind this argument is that states then have the potential to militarily intervene in other states using humanitarianism as a justification for regime change or some other ulterior motive. It is to be noted that Goodman bases his arguments upon the dynamics of recent interventions in Kosovo and Iraq as well as the refusal to intervene in the Sudan or in Rwanda (Goodman, 2006). Similarly when attempts were made to intervene militarily under the auspice of humanitarianism in Syria, this was rebuffed by the UN General Assembly s ince it was suggested that those who sought to intervene (again, the USA, UK and France) were doing so out of a political motive which involve a war fighting phase as opposed to relieving suffering on the ground, indeed a part of the proposal was to arm anti Assad militias which were aligned to the al Qaeda franchise (Benotman and Blake, 2013). The outcome of this particular policy has been the evolution of Islamic State. Conclusion In conclusion, the incorporation of a military force to benefit humanitarian operations can serve to benefit the potential for aid relief via the provision of security escorts for NGOs when operating in hostile environments. However with recent decades seeing a vast increase in the preference for military led humanitarian operations, the potential for a conflation between humanitarian principles and the advancing of political aspirations of donor states cannot be denied. This has been the case in Libya where humanitarianism was presented as a causal justification for military interventions which were mostly politically or ideologically led. With the vales of humanitarianism incorporating impartiality and neutrality it is hard to see how military forces can promote humanitarian values, particularly when their presence may result in engaging with potential belligerent forces in order to stabilise a country or region so that NGOs can conduct their own operations successfully. Essentiall y, therefore the aims of military forces (and their political masters) are vastly different from aid agencies, this serve to provide confirmation that military forces cannot promote humanitarian values, purely by virtue of their own activities and nature of their work. Bibliography Benotman, N., and Blake, R. (2013) Jabhat al-Nusra: A Strategic Briefing, London: Quilliam Foundation. Boulton, A. (2008), Memoirs of the Blair Administration: Tony’s Ten Years, London: Simon & Schuster. Christoplos, I., Longley, C. and Slaymaker, T., (2004) The Changing Roles of Agricultural Rehabilitation: Linking Relief, Development and Support to Rural Livelihoods, available at http://odi.org.uk/wpp/publications_pdfs/Agricultural_rehabilitation.pdf, (accessed on 13/11/14). Dagher, S., (2014) Kurds Fight Islamic State to Claim a Piece of Syria, (online), available at http://online.wsj.com/articles/kurds-fight-islamic-state-to-claim-a-piece-of-syria-1415843557, (accessed on 13/11/14). Davidson, J., (2012) Principles of Modern American Counterinsurgency: Evolution and Debate, Washington DC: Brookings Institute. Global Humanitarian Assistance, (2013) Counting the cost of humanitarian aid delivered through the military, London: Global Humanitarian Assistance. Goodman, R., (2006) Humanitarian Intervention and Pretexts for War, (J), American Journal of International Law, Vol. 100: 107 – 142. International Committee of the Red Cross, (2013) Humanitarian Values and Response to Crisis, (online), available at https://www.icrc.org/eng/resources/documents/misc/57jmlz.htm, (accessed on 13/11/14). Kaldor, M., (1998) New and Old Wars: Organized Violence in a Global Era, Cambridge: Polity Press. Kuperman, A., (2011) False Pretence for war in Libya, available at http://www.boston.com/bostonglobe/editorial_opinion/oped/articles/2011/04/14/false_pretense_for_war_in_libya/accessed on 13/11/14). Marjanovic, M., (2011) Is Humanitarian War the Exception?, (online), available at http://mises.org/daily/5160/Is-Humanitarian-War-the-Exception, (accessed on 13/11/14). Minear, L and Weiss, T.G., (1995) Mercy Under Fire: War and the Global Humanitarian Community, Boulder: Westview Press. Ministry of Defence, (2011) Peacekeeping: An evolving Role for the Military, London: HMSO. Pattison, M., (2010) Humanitarian Intervention and the Responsibility To Protect: Who Should, Oxford: Oxford University Press. RT News, (2012) Stratfor: Blackwater helps regime Change, (online), available at http://www.rt.com/news/stratfor-syria-regime-change-063/, (accessed on 13/11/14). Seybolt, T., (2007) Humanitarian Military Intervention: The Conditions for Success and Failure, Oxford: Oxford University Press. United Nations, (2011) Resolution 1973, (online), available at http://www.un.org/press/en/2011/sc10200.doc.htm#Resolution, (accessed on 13/11/14). US Government, (2012) Counter Insurgency, Virginia: Pentagon. Waxman, M., (2013) Is humanitarian military intervention against international law, or are there exceptions?, (online), available at http://www.cfr.org/international-law/humanitarian-military-intervention-against-international-law-there-exceptions/p31017, (accessed on 13/11/14). Weiss, T., (2012) Humanitarian Intervention, Cambridge: Polity Press. Williamson, J., (2011) Using humanitarian aid to ‘win hearts and minds’: a costly failure?, (J), International Committee of the Red Cross, Vol. 93, (884): 1035 – 1062.