Wednesday, July 31, 2019

Broken Windows Theory

What Impact has the Broken-windows Theory had on Policing? What about the Future? 02/18/2010 Question Response pg. 118 Broken-windows theory is the thought that when low levels of crime and disorder and deviance are not held in check, then more serious crime is likely to follow (Roberg, Novak, Cordner pg. 102). It was a theory proposed by J. Q. Wilson and Kelling in 1982. The broken-windows theory has had an effect on policing in the past, and will play a role in how policing is done in the future. First let’s look at how the broken-windows theory has impacted policing in the past. Broken-windows theory suggested a way of thinking in the community. Citizens felt safer when police departments conducted more foot patrols in the neighborhood, and felt the police were more aware of the crime that occurred. As time progressed into the adaptation of the motorized patrol, some people felt that the police had lost touch with the community and were not aware of the small underlying issues of the bigger crimes that occurred (pg. 66). Through the theory of broken-windows, a zero-tolerance style of policing was developed. Some police departments, such as New York, implemented the zero tolerance style and claimed that it lowered their crime rates in the mid 1990’s (pg. 103). The police became more arrest oriented and focused on a more aggressive approach to crime control. They would increase their traffic citations, arrests, and increase their contacts with citizens. However, one of the issues with the zero tolerance style of policing is that it can cause some undue harm to citizens. By being to aggressive, it leads officers to become more suspicious of some people even though they may not deserve it, and can to lead to false arrests or abuse (pg. 04). In conclusion, the broken-windows theory has created the zero tolerance style of policing, and has lead some citizens to believe that the police are not in touch with their neighborhood due to the lack of foot patrol. As cities continue to grow and expand, most police departments will not have the resources to devote some offices to foot patrol, w hile having others in vehicles to respond to other calls for service in other areas. Therefore under the broken-windows theory, departments will have to address the issue of the community not feeling safe without foot patrols. Also, understanding that if minor crime is not addressed, the potential for larger crime may follow; this will lead departments to find new strategies to address these issues. Departments will look to work with the community (community policing) in an effort to resolve the issues without delay (zero tolerance). Broken-windows theory has affected the way police departments operate since it was developed, and only through new and creative strategies can it be correctly implemented. Reference: Roberg, R. , Novak, K. , & Cordner, G. (2009). Police & society. Oxford, New York: Oxford University Press. Broken Windows Theory The notion that serious crime is stemmed from minor disorders and fear of crime was a well-developed hypothesis in the 1980s by James Q. Wilson and George Kelling (Hinkle & Weisburd, 2006). Wilson and Kelling (1982) had coined this theory as â€Å"broken windows†. Broken windows theory states that disorder in a society causes the residents of the society to develop fear (Hinkle & Weisburd, 2008). The authors go on to state that fear is the fueling source behind delinquent behavior, which resulted in higher rates of serious crimes (2008).The main concept of this theory illustrated that if police were to target and eliminate minor disorders through community policing, it would have an overall impact on the reduction of crime rates (Gau & Pratt, 2008). Broken windows theory was not accepted by all, in fact it sparked a great deal of controversy (Wilson & Kelling, 1982). The opposing views of broken windows theory argued that it was too weak because of the lack thereof empirical e vidence proving the correlation between implementation of broken windows policing methods and decrease in crime (Harcourt, 1998).The purpose of this essay was to compare and contrast the two different perspectives on the broken windows theory. This paper shall also conclude whether the broken windows theory can be successfully used within a community policing model. In my opinion the broken windows theory had enough substantial groundwork presented that it was successfully used within community policing. To begin, according to Clyde Cronkhite (2004) the theory was true. Cronkhite connects â€Å"disorder and crime as part of a developmental sequence† (2008, p. 46). The main concept that Kelling and Wilson stated, was that if small minor disorders such as littering, public drinking, graffiti etc. were tolerated in a society than it would spiral out creating more serious crimes (Cronkhite, 2004). Cronkhite (2004) gave reasoning behind their theory stating that serious crimes ste m from criminals assuming that once there was social acceptance of minor delinquent behaviors, the community became vulnerable and were less likely to act against such behaviors. Broken windows entails a process whereby unchecked visible disorder signals to residents that community lacks social control. This assumption is that the law-abiding citizens and the criminal alike are attuned to this signal† (Gau & Pratt, 2008, p. 164). Gau and Pratt (2008) gave an explanation as to why criminals tend to flood the streets when minor disorders are present in society. The authors reasoned that it is because the general public sought shelter or safety off of the streets which in turn allowed criminals to occupy the area (Wilson & Kelling, as cited in Gau & Pratt, 2008).From personal experience in third year of University I attended a midnight street walk of downtown Toronto, which allowed me to draw on the same conclusions as Gua and Pratt. During the street walk it was clear that certa in geographical areas provided an outlet for further crime to exist based on social senses, such as Regent Park. Also, based on physical evidence that remained on George St in front of Seaton House; needles on the floor, graffiti on the walls and empty alcohol bottles not only concluded that this area was a favorable environment for crime, but that indeed some form of illegal acts had occurred.Furthermore, Gua and Pratt (2010) discussed how the perceptions of disorder in a community instilled fear into its members and how fear created social disengagement from the community. The broken windows perspective outlined the cognitive thought behind what individuals viewed as disorders (Cronkhite, 2004). In other words, disorder was always in the eye of the beholder, which in this case was the community. The way the community interpreted the delinquent behavior for example littering, determined whether the community was going to reject or accept it into their societal values.Based on the c ommunity’s decision we must consider an outsider’s perspective on such behavior as well. James McCabe (2008) goes on to talk about how it was not the physical aspect of the act (litter in itself) but rather the symbolism it created that lead to increase in crime. McCabe also stated that if individuals saw littering as a threat to social order, this threat would no longer be overlooked or considered unimportant, instead littering would be viewed as a key catalyst to a chain of negligent behavior (2008).Fear was a result of the negligent behavior, fear also generated attachment to the visible characteristics of delinquency, helping outsiders derive a negative stigma about a community (J. Irwin, personal communication, Oct 3rd, 2012). Tepperman and Curtis (2011), provided an explanation as to why crime occurs based on the social functionalist approach coined by Emile Durkheim â€Å"in order to have a well-functioning society it requires values, cohesion and social contro l† (p. 19).This theory was based on the principal that social problems are socially created (Tepperman and Curtis, 2011), the social functionalist approach supported the original work on the broken windows theory, which stated that minor disorders are classified and looked at based on individual perception (source). Structural functionalist approach established that problems in a society originate from the observation of others’ consequences (Tepperman and Curtis, 2011). In this particular case the consequences of the minor delinquent acts created greater chaos.To combat the growth in crime rates in any geographical area, â€Å"broken windows philosophy entails addressing the minor problems in a community before they create conditions that welcome and/or permit more serious offences† (McCabe, 2008, p. 291). McCabe (2008) also theorized that if you were to control the disorder you could then control the crime. The outcome this theory had on police response was tha t it created the order maintenance policing strategy (Cronkhite, 2004). This was the gateway introduction to community based policing.Broken windows theory demanded that there be community involvement (McCabe, 2008). The positive correlation between community policing and reduction of crime rates, was not necessarily in the affects the police have on the disorder itself, but rather the sense of order being restored into the community through hands on approach (Sampson & Raudenbush, 2004). When the community saw active policing, and a restored sense of community, people began to feel safer within society and were more inclined to help with community restoration initiatives (McCabe, 2008).The order maintenance strategy operated based on a community policing model, which is known as The Ontario Association of Chief of Police (OACP) Model (G. Hanna, personal communication, Sept 26th 2012). Wilson and Kelling’s theory was based on the social science experiment of Phillip Zimbardo, who had studied the snowballing effect on vandalism at the Stanford University Campus parking lot New York City in 1969, once a vacant car was left unattended to (McCabe, 2008).Kelling and Wilson (1982), indicated that disorder and crime have a strong positive correlation based on the yielded results from Zimbardo’s experiment. The first to implement the order maintenance approach was the New York Transit Authority (NYTA) (Corman & Mocan, 2005). The NYTA tackled the Subway vandalism problem head on, they eliminated graffiti, and arrested those who tried to cheat the subway fare system (Corman & Mocan, 2005). Bratton the main leader in organizing the initiative, stated that the theory was accurate (Corman & Mocan, 2005). Bratton went on to explain that there was a dramatic drop in rime rates committed in the subways following this approach, thus backing up the broken windows theory (date). After realizing the positive results of aggressive order maintenance strategy, the brok en windows theory was then put to the test by the NYPD (Corman & Mocan, 2005). The NYPD were also only reaping the benefits from this decision. Deploying this strategy had an impact on the offender’s belief that the risk of apprehension was high, thus the NYPD sent a clear message to the community that law and order prevail over petty and serious crimes (Sampson & Cohen, 1988).Immediately after the implementation of order maintenance, NYPD saw significantly decreasing numbers in serious crimes such as homicide, robbery and rape (Corman & Mocan, 2005), the city ended up reaching its all-time low. Kelling in his later work wrote, â€Å"Both experience and substantial formal research demonstrated that disorder left untended ultimately leads to serious crime†¦ Fighting disorder, by solving the problems that cause it, is clearly one the best ways to fight serious crime, reduce fear, and give citizens what they actually want from the police force†. Kelling 1999, p. 29 a s cited in Gau & Pratt, 2008, p. 167). Another Dutch researchers conducted an experiment that revealed how visible social disorder increased an individual`s temptation to indulge in delinquent behaviour (Kaplan, 2008). A Dutch researcher, Keizer tested this theory by; â€Å"placing an envelope containing a 5 euro-note hanging from a mailbox†¦ when the mailbox was clean, 13 percent of passers-by stole the envelope. When the mailbox was surrounded by trash, the percentage jumped to 25 percent, and then 27 percent when it was covered by graffiti. (Kaplan, 2008, p. 1). It was evident that the presence of litter (minor disorder) increased the rate of crime double fold. This Netherland experiment bolstered the broken windows theory (Kaplan, 2008). On the contrary, these results fueled the debate of whether the broken windows theory was the driving force behind crime reduction in the area. While researchers tried to determine the root causes to a particular crime, the macro-social ap proach shed light on crime originating from â€Å"poverty, unemployment, racism, class conflict, etc. † (McCabe, 2008, p. 92) Kennedy and Moore (1995) believed that the police did not have direct impact on these crime causing issues, therefore no direct impact on crime. Harcourt was the main author to challenge the broken windows theory. He scrutinized the theory as well as the data gathered by author Skogan, statingthat although there were several measures of serious crime (assault, sexual assault, and burglary) available in Skogan’s research, he only disclosed the findings on crime correlated to robbery (Harcourt, 1998). This made Skogan’s work discreditable and biased.Another reason why broken windows was said to be invalid is due to people`s perceptions on the relationship between crime and disorder; whether or not they are separate entities (Corman & Mocan, 2005). â€Å"If disorder and crime seem to be different in the eyes of neighborhood residents, then order maintenance policing may have a fighting chance at crime reduction. If however, the two phenomena merge into one in the minds of those residents, then broken windows theory and its accompanying order maintenance policing strategies will need to be rethought. (Gau & Pratt, 2008, p. 170). Furthermore, the main concept of broken windows theory was attacked. The idea that if disorder is not found frightening, citizens remain on the streets, therefore streets are not being opened to criminals, thus criminal behaviour would not take place (Hinkle & Weisburd, 2006). Interestingly, the studies conducted against the theory have not given much attention to the relationship between disorder and fear, which was surprising given its importance in the model. (Hinkle & Weisburd, 2006).Studies based on broken windows are too inconsistent to be able to draw a definite line as to whether or not the theory was accurate and the possibility of integration into community policing. Researchers have stated that there are statistically better predictions of crime such as community stability and collective efficacy of the neighborhood, therefore police should not focus their time into â€Å"fixing† the broken windows theory but rather dedicate their time to other predictors (Weisburd & Braga, 2007).Consequently, if police were to dedicate their time on the other factors rather than on minor disorders there would be less objectivity in regards to police involvement (Weisburd & Braga, 2007). The authors point out that although all individuals would be in favour of collective efficacy, it was hard to address and improve upon (2007). Making it easier said than done. These other statistical predictors of crime were rational and helpful in regards determining all possible causes of crime, but they were far too ambiguous of concepts to be solved through practice (Weisburd & Braga, 2007).Thus broken windows theory was a practical option, it was applicable to any community and it w as able to be implemented quickly. According to the OACP Model order maintenance policing would be considered as part of the community mobilization and crime prevention sector. This sector allows the police to take charge and impact minor disorders preventing future crime while encouraging community members to get involved, thus transitioning toward safer communities and to the ultimate goal of low need for police assistance (G. Hanna, personal communication, Sept 11th, 2012).In conclusion, the macro-social approaches, lack thereof empirical evidence, relationship between fear and disorder as well as perceptions on social disorders were the critiques made against the broken windows theory. Despite these critiques, the theory proved to be true through real life application. Therefore I draw to the conclusion that it was and continues to be successfully incorporated into the current policing model. If police services in Ontario dedicate more time to target the social disorders visible in our communities, they will help build positive relations in the community.By restoring order in our communities we are another step closer to eradicating serious crimes (Wilson & Kelling, 1982). References Corman, H. , & Mocan, N. (2005, April). Carrots, sticks, and broken windows. Journal of Law and Economics, 48(1), 235-266. doi:10. 1086/425594 Cronkhite, C. (2004, March 1). Illusions of order: The false promise of broken windows policing (Book). Criminal Justice Review (Georgia State University), 29(1), 245-248. Retrieved October 1, 2012, from http://web. ebscohost. com. subzero. lib. uoguelph. ca/ehost/pdfviewer/pdfviewer? id=50642dd3-c8cc-4a96-aa51-1baee6674c01%40sessionmgr114&vid=1&hid=107 Gau, J. M. , & Pratt, T. C. (2008, May 1). Broken windows or window dressing? Citizens (in)ability to tell the difference between disorder and crime. Criminology & Public Policy , 7(2), 163-194. doi:10. 1111/j. 1745-9133. 2008. 00500. x Gau, J. M. , & Pratt, T. C. (2010, August). Revisit ing broken windows theory: Examining the sources of the discriminant validity of perceived disorder and crime. Journal of Criminal Justice, 38(4), 758-766. Retrieved October 1, 2012, from Broken Windows Theory The notion that serious crime is stemmed from minor disorders and fear of crime was a well-developed hypothesis in the 1980s by James Q. Wilson and George Kelling (Hinkle & Weisburd, 2006). Wilson and Kelling (1982) had coined this theory as â€Å"broken windows†. Broken windows theory states that disorder in a society causes the residents of the society to develop fear (Hinkle & Weisburd, 2008). The authors go on to state that fear is the fueling source behind delinquent behavior, which resulted in higher rates of serious crimes (2008).The main concept of this theory illustrated that if police were to target and eliminate minor disorders through community policing, it would have an overall impact on the reduction of crime rates (Gau & Pratt, 2008). Broken windows theory was not accepted by all, in fact it sparked a great deal of controversy (Wilson & Kelling, 1982). The opposing views of broken windows theory argued that it was too weak because of the lack thereof empirical e vidence proving the correlation between implementation of broken windows policing methods and decrease in crime (Harcourt, 1998).The purpose of this essay was to compare and contrast the two different perspectives on the broken windows theory. This paper shall also conclude whether the broken windows theory can be successfully used within a community policing model. In my opinion the broken windows theory had enough substantial groundwork presented that it was successfully used within community policing. To begin, according to Clyde Cronkhite (2004) the theory was true. Cronkhite connects â€Å"disorder and crime as part of a developmental sequence† (2008, p. 46). The main concept that Kelling and Wilson stated, was that if small minor disorders such as littering, public drinking, graffiti etc. were tolerated in a society than it would spiral out creating more serious crimes (Cronkhite, 2004). Cronkhite (2004) gave reasoning behind their theory stating that serious crimes ste m from criminals assuming that once there was social acceptance of minor delinquent behaviors, the community became vulnerable and were less likely to act against such behaviors. Broken windows entails a process whereby unchecked visible disorder signals to residents that community lacks social control. This assumption is that the law-abiding citizens and the criminal alike are attuned to this signal† (Gau & Pratt, 2008, p. 164). Gau and Pratt (2008) gave an explanation as to why criminals tend to flood the streets when minor disorders are present in society. The authors reasoned that it is because the general public sought shelter or safety off of the streets which in turn allowed criminals to occupy the area (Wilson & Kelling, as cited in Gau & Pratt, 2008).From personal experience in third year of University I attended a midnight street walk of downtown Toronto, which allowed me to draw on the same conclusions as Gua and Pratt. During the street walk it was clear that certa in geographical areas provided an outlet for further crime to exist based on social senses, such as Regent Park. Also, based on physical evidence that remained on George St in front of Seaton House; needles on the floor, graffiti on the walls and empty alcohol bottles not only concluded that this area was a favorable environment for crime, but that indeed some form of illegal acts had occurred.Furthermore, Gua and Pratt (2010) discussed how the perceptions of disorder in a community instilled fear into its members and how fear created social disengagement from the community. The broken windows perspective outlined the cognitive thought behind what individuals viewed as disorders (Cronkhite, 2004). In other words, disorder was always in the eye of the beholder, which in this case was the community. The way the community interpreted the delinquent behavior for example littering, determined whether the community was going to reject or accept it into their societal values.Based on the c ommunity’s decision we must consider an outsider’s perspective on such behavior as well. James McCabe (2008) goes on to talk about how it was not the physical aspect of the act (litter in itself) but rather the symbolism it created that lead to increase in crime. McCabe also stated that if individuals saw littering as a threat to social order, this threat would no longer be overlooked or considered unimportant, instead littering would be viewed as a key catalyst to a chain of negligent behavior (2008).Fear was a result of the negligent behavior, fear also generated attachment to the visible characteristics of delinquency, helping outsiders derive a negative stigma about a community (J. Irwin, personal communication, Oct 3rd, 2012). Tepperman and Curtis (2011), provided an explanation as to why crime occurs based on the social functionalist approach coined by Emile Durkheim â€Å"in order to have a well-functioning society it requires values, cohesion and social contro l† (p. 19).This theory was based on the principal that social problems are socially created (Tepperman and Curtis, 2011), the social functionalist approach supported the original work on the broken windows theory, which stated that minor disorders are classified and looked at based on individual perception (source). Structural functionalist approach established that problems in a society originate from the observation of others’ consequences (Tepperman and Curtis, 2011). In this particular case the consequences of the minor delinquent acts created greater chaos.To combat the growth in crime rates in any geographical area, â€Å"broken windows philosophy entails addressing the minor problems in a community before they create conditions that welcome and/or permit more serious offences† (McCabe, 2008, p. 291). McCabe (2008) also theorized that if you were to control the disorder you could then control the crime. The outcome this theory had on police response was tha t it created the order maintenance policing strategy (Cronkhite, 2004). This was the gateway introduction to community based policing.Broken windows theory demanded that there be community involvement (McCabe, 2008). The positive correlation between community policing and reduction of crime rates, was not necessarily in the affects the police have on the disorder itself, but rather the sense of order being restored into the community through hands on approach (Sampson & Raudenbush, 2004). When the community saw active policing, and a restored sense of community, people began to feel safer within society and were more inclined to help with community restoration initiatives (McCabe, 2008).The order maintenance strategy operated based on a community policing model, which is known as The Ontario Association of Chief of Police (OACP) Model (G. Hanna, personal communication, Sept 26th 2012). Wilson and Kelling’s theory was based on the social science experiment of Phillip Zimbardo, who had studied the snowballing effect on vandalism at the Stanford University Campus parking lot New York City in 1969, once a vacant car was left unattended to (McCabe, 2008).Kelling and Wilson (1982), indicated that disorder and crime have a strong positive correlation based on the yielded results from Zimbardo’s experiment. The first to implement the order maintenance approach was the New York Transit Authority (NYTA) (Corman & Mocan, 2005). The NYTA tackled the Subway vandalism problem head on, they eliminated graffiti, and arrested those who tried to cheat the subway fare system (Corman & Mocan, 2005). Bratton the main leader in organizing the initiative, stated that the theory was accurate (Corman & Mocan, 2005). Bratton went on to explain that there was a dramatic drop in rime rates committed in the subways following this approach, thus backing up the broken windows theory (date). After realizing the positive results of aggressive order maintenance strategy, the brok en windows theory was then put to the test by the NYPD (Corman & Mocan, 2005). The NYPD were also only reaping the benefits from this decision. Deploying this strategy had an impact on the offender’s belief that the risk of apprehension was high, thus the NYPD sent a clear message to the community that law and order prevail over petty and serious crimes (Sampson & Cohen, 1988).Immediately after the implementation of order maintenance, NYPD saw significantly decreasing numbers in serious crimes such as homicide, robbery and rape (Corman & Mocan, 2005), the city ended up reaching its all-time low. Kelling in his later work wrote, â€Å"Both experience and substantial formal research demonstrated that disorder left untended ultimately leads to serious crime†¦ Fighting disorder, by solving the problems that cause it, is clearly one the best ways to fight serious crime, reduce fear, and give citizens what they actually want from the police force†. Kelling 1999, p. 29 a s cited in Gau & Pratt, 2008, p. 167). Another Dutch researchers conducted an experiment that revealed how visible social disorder increased an individual`s temptation to indulge in delinquent behaviour (Kaplan, 2008). A Dutch researcher, Keizer tested this theory by; â€Å"placing an envelope containing a 5 euro-note hanging from a mailbox†¦ when the mailbox was clean, 13 percent of passers-by stole the envelope. When the mailbox was surrounded by trash, the percentage jumped to 25 percent, and then 27 percent when it was covered by graffiti. (Kaplan, 2008, p. 1). It was evident that the presence of litter (minor disorder) increased the rate of crime double fold. This Netherland experiment bolstered the broken windows theory (Kaplan, 2008). On the contrary, these results fueled the debate of whether the broken windows theory was the driving force behind crime reduction in the area. While researchers tried to determine the root causes to a particular crime, the macro-social ap proach shed light on crime originating from â€Å"poverty, unemployment, racism, class conflict, etc. † (McCabe, 2008, p. 92) Kennedy and Moore (1995) believed that the police did not have direct impact on these crime causing issues, therefore no direct impact on crime. Harcourt was the main author to challenge the broken windows theory. He scrutinized the theory as well as the data gathered by author Skogan, statingthat although there were several measures of serious crime (assault, sexual assault, and burglary) available in Skogan’s research, he only disclosed the findings on crime correlated to robbery (Harcourt, 1998). This made Skogan’s work discreditable and biased.Another reason why broken windows was said to be invalid is due to people`s perceptions on the relationship between crime and disorder; whether or not they are separate entities (Corman & Mocan, 2005). â€Å"If disorder and crime seem to be different in the eyes of neighborhood residents, then order maintenance policing may have a fighting chance at crime reduction. If however, the two phenomena merge into one in the minds of those residents, then broken windows theory and its accompanying order maintenance policing strategies will need to be rethought. (Gau & Pratt, 2008, p. 170). Furthermore, the main concept of broken windows theory was attacked. The idea that if disorder is not found frightening, citizens remain on the streets, therefore streets are not being opened to criminals, thus criminal behaviour would not take place (Hinkle & Weisburd, 2006). Interestingly, the studies conducted against the theory have not given much attention to the relationship between disorder and fear, which was surprising given its importance in the model. (Hinkle & Weisburd, 2006).Studies based on broken windows are too inconsistent to be able to draw a definite line as to whether or not the theory was accurate and the possibility of integration into community policing. Researchers have stated that there are statistically better predictions of crime such as community stability and collective efficacy of the neighborhood, therefore police should not focus their time into â€Å"fixing† the broken windows theory but rather dedicate their time to other predictors (Weisburd & Braga, 2007).Consequently, if police were to dedicate their time on the other factors rather than on minor disorders there would be less objectivity in regards to police involvement (Weisburd & Braga, 2007). The authors point out that although all individuals would be in favour of collective efficacy, it was hard to address and improve upon (2007). Making it easier said than done. These other statistical predictors of crime were rational and helpful in regards determining all possible causes of crime, but they were far too ambiguous of concepts to be solved through practice (Weisburd & Braga, 2007).Thus broken windows theory was a practical option, it was applicable to any community and it w as able to be implemented quickly. According to the OACP Model order maintenance policing would be considered as part of the community mobilization and crime prevention sector. This sector allows the police to take charge and impact minor disorders preventing future crime while encouraging community members to get involved, thus transitioning toward safer communities and to the ultimate goal of low need for police assistance (G. Hanna, personal communication, Sept 11th, 2012).In conclusion, the macro-social approaches, lack thereof empirical evidence, relationship between fear and disorder as well as perceptions on social disorders were the critiques made against the broken windows theory. Despite these critiques, the theory proved to be true through real life application. Therefore I draw to the conclusion that it was and continues to be successfully incorporated into the current policing model. If police services in Ontario dedicate more time to target the social disorders visible in our communities, they will help build positive relations in the community.By restoring order in our communities we are another step closer to eradicating serious crimes (Wilson & Kelling, 1982). References Corman, H. , & Mocan, N. (2005, April). Carrots, sticks, and broken windows. Journal of Law and Economics, 48(1), 235-266. doi:10. 1086/425594 Cronkhite, C. (2004, March 1). Illusions of order: The false promise of broken windows policing (Book). Criminal Justice Review (Georgia State University), 29(1), 245-248. Retrieved October 1, 2012, from http://web. ebscohost. com. subzero. lib. uoguelph. ca/ehost/pdfviewer/pdfviewer? id=50642dd3-c8cc-4a96-aa51-1baee6674c01%40sessionmgr114&vid=1&hid=107 Gau, J. M. , & Pratt, T. C. (2008, May 1). Broken windows or window dressing? Citizens (in)ability to tell the difference between disorder and crime. Criminology & Public Policy , 7(2), 163-194. doi:10. 1111/j. 1745-9133. 2008. 00500. x Gau, J. M. , & Pratt, T. C. (2010, August). Revisit ing broken windows theory: Examining the sources of the discriminant validity of perceived disorder and crime. Journal of Criminal Justice, 38(4), 758-766. Retrieved October 1, 2012, from

Tuesday, July 30, 2019

Moliere’s Portrayal of Religion and Religiosity Essay

Moliere’s Tartuffe is about a man named Tartuffe who is a beggar and holy man that was recently taken in by a Christian man named, Orgon. Tartuffe has Orgon fooled, but the entire rest of Orgon’s family sees Tartuffe as a hypocritical, self-righteous con artist. Orgon becomes obsessed with Tartuffe and would rather talk and hear about him than his own sick wife. Even though Moliere rewrote this play twice, there are many reasons that the church might still be concerned about the hypocrisy that he used toward Christianity in this play. In 1666 Tartuffe was banned, a play many found offensive because of its assault on church hypocrisy. Many people of the church could still be concerned, due to Moliere’s portrayal of Christianity and how it is almost mocked in this play. Allot of the comedy Moliere portrays is intense focus on Orgon as example of a certain kind of traditional Christian. He isn’t the ‘only’ type of Christian in this play, but the way he is portrayed is almost in a hypocritical manner. Orgon is so eager to believe Tartuffe, mainly due to the fact that Tartuffe is professing to be another type of Christian. Moliere regards the type of Christian that Tartuffe is as insane. The way mankind is portrayed on behalf of Orgon is almost as depraved as a result of Original Sin, so therefore Orgon has to be subjected, for his own good, to somewhat of a dictatorial control by divinely appointed authorities, or the King. Moliere portrays Orgon as a good Christian man, who is taken advantage of and ultimately almost loses everything because he is willing to take Tartuffe in and treat him as if he were family. The reason the church should be concerned here is the fact that Moliere portrays the way Tartuffe is insane and manipulates the good Christian man. He shows Orgon, the good Christian man as blind to all the wrong, and coming out as essentially the â€Å"loser† and the insane Christian and manipulator, Tartuffe, comes out with all of Orgon’s belongings. After reading Moliere’s Tartuffe I now can see how the church would be heavily concerned with how Moliere portrays Christianity as ‘the nice guy finishes last’ with relation to Orgon and Christianity. The church could also see the hypocrisy by the portrayal of Tartuffe as a â€Å"religious con man† or â€Å"religious fraud. †

Snow Falling on Cedars

How is the concept of the conflicting perspectives represented in the texts you have studied? In your answer refer to Snow Falling on Cedars and ONE related text of your choosing A conflicting perspective is a point of view of either one or more people that is generally subjective which presents a form of opposition in opinion. The novel, ‘Snow falling On Cedars’ composed by David Guterson in 1995 and the film ‘Crash’ composed by Paul Haggis in 2005 represents the concept of conflicting perspectives in different ways. Both the film and the novel convey the ideas of the social, judicial and interpersonal concepts in their texts through their characters and experiences such as Ishmael Chambers in Snow falling On Cedars and Jean from ‘Crash’. In ‘Snow Falling On Cedars’ Guterson addresses the idea of conflicting perspectives through a court case and then relates other people’s perspectives to the core plot of the novel while ‘Crash’ tells several different stories and then melds them together. Therefore through each composer’s use of sub plots, setting in the strawberry fields and techniques, the concept of conflicting perspectives is represented. The novel, Snow Falling on Cedars is a crime fiction novel which reveals a story about an investigation and trial into the death of a local islander on San Piedro. The book in itself characterises many sub plots such as the relationship between Ishmael Chambers and Hatsue Imada as well as the main plot of the murder trial. Guterson uses setting as a technique in order to reinforce his representation of conflicting perspectives in the novel. One of the main conflicting perspectives which are represented in â€Å"snow Falling on Cedars† is the concept of racial heritage due to World War II. This is political conflict which in turn causes distress in the everyday life of the characters within the book. The racial hatred between the Japanese and the Americans fuels many of the conflicts which occur in the book including the prejudice and urged conviction of Kabuo and also separating those in society who have different opinions. The war seems to change peoples’ perspectives on everything and Guterson represents a latent mistrust of the different. This can be seen in the novel as the repercussions of the attack on Pearl Harbour cause minor abuse of residential Japanese ‘traitors’ who are being arrested ‘in Hawaii and other places- and the FBI’s in on it†. Guterson represents the conflicting perspectives through the personalities of Arthur and Ishmael chambers who through their newspaper voiced reason and unbiased information over the war ‘Let us remember†¦ hat prejudice and hatred are never right and never to be accepted by a just society (Arthur) and this caused great criticism from the fellow islanders. â€Å"Seems like your favouring the Japs Art†. This can be contrasted with the characters of Etta Heine who sold off the land promised to the Miyamoto’s while they were in internment camp and also the boatman Dale Middleton who comments to Ishma el ‘suckers all look alike’ referring to the Miyamoto’s. The use of the strawberry fields within the novel highlights Guterson’s representation of the concept of conflicting perspectives. The fields are a superficial union of all the islanders with growers, pickers and packers working off the farm and the rest of the island attending the Strawberry Festival in town each year. The strawberry field represents one of the main themes in the film which is the idea that not everything is as it seems. The fields are symbols of richness and fertility and hold a sense of beauty in the fruit it produces however, at the same time the fields are cold and bitter to work on which becomes symbolic of the characters on the island. In ‘Snow Falling On Cedars’ there is a sub plot which revolves around the relationship of two islanders and this relationships represents the concepts of conflicting perspectives. The relationship between Ishmael Chambers and Hatsue Imada becomes highly significant as not only is the responder able to see the conflicting perspectives between Ishmael and Hatsue but also the conflicting perspectives which occur within Ishmael later in the book. Ishmael loves Hatsue and the loss of the relationship between them results in the hatred of Hatsue and a loss of compassion from Ishmael. They both have different perspectives on their relationship and therefore it was destined to fail, not only because of the racial differences but also because she doesn’t love Ishmael. This revelation is revealed to the responder through the hidden scene in the cedar tree. ‘It came as an enormous shock to her, this knowledge, and at the same time it was something she had always known, something until now hidden’. This quote also becomes quite significant as the relationship between Ishmael and Hatsue was kept a secret with their love filled meetings kept within a hollowed out cedar tree in the forest. Ultimately the idea that the relationship was kept a secret damned it because in order for their relationship to continue they need to be open about it but the relationship can only exist in secret. â€Å"†¦ we can’t go out, Ishmael. We’re trapped inside this tree†. The end of the book gives Ishmael the opportunity for Ishmael to resolve many of the conflicting perspectives in the novel with the evidence he discovered at the light house which would clear Kabuo’s name. However, the personal cost to him is enormous and it takes away something in himself when he comes forward to resolve it. The use of the cedar trees within the novel becomes an important technique when considering the representation of the concepts of conflict in the novel. The cedar tree is a place where Ishmael and Hatsue are able to pursue their relationship because it offers them a place away from cultural values and rules and gives them the opportunity to pursue their feelings. The tree offers them a protection from the realities of the outside world. The tree, like the strawberry fields is a symbol of tenderness and beauty. The tree however is hollow and has something missing and this becomes symbolic of Hatsue’s and Ishmael’s relationship because it signifies that it was never meant to be and that there was something missing from their relationship. It was hollow. The tree is symbolic of the two’s love as this is the place where they lose their virginity to each other. However, moments after this takes place Hatsue asks Ishmael to pull out as she feels that their relationship is over. She does not love him. The cedar tree is as much of a symbol of Ishmael’s love as it is of Hatsue’s love in cultural blood. The film, ‘Crash’ composed by Paul Haggis in 2005 represents the concept of conflicting perspectives. At the beginning of the film the responder watches several different characters in different sub plots creating several different stories which have no correlation to each other. As the film progresses the several different sub plots begin to meld into one and ultimately revolve around a single car crash. The film ‘Crash’ displays several different meanings of conflicting perspectives from the point of view of different characters and then displays how these perspectives can change when subjected to different experiences. This can be seen through the character of Jean who due to a car-jacking earlier in the film, has a conflicting perspective on race. This perspective becomes ironic in that she feel that ‘whites’ are more superior and do not commit themselves to such abhorred acts as that of coloured people. However when she takes a fall within her own home and none of her ‘white’ friends come to help her, it is in fact her Hispanic maid Maria who helps her. The responder is able to see the change in Jeans perspective when she comments to her maid Maria â€Å"you’re the best friend I’ve got†. This can be related to the character of Ishmael in ‘Snow Falling on Cedars’ as he too changes his perspective towards the end of the novel when he discovers evidence which could change the course of his ex-lovers husbands court trial. The 12th chapter in ‘Crash’, Protect and Serve, captures the films essence of the representation of conflicting perspectives where two characters, Officer Ryan and Christine are forced into a situation where they are both forced to face their conflicting perspectives towards each other. In the beginning of the film, Officer Ryan assaults Christine, a black women based on his external conflict of racial prejudice. Scene 12 â€Å"Protect and Serve† forces both characters to acknowledge their conflicting perspectives, giving them the opportunity to resolve this as Christine is trapped in her overturned car and Officer Ryan tries to free her. The scene uses several pan shots, non- dijectic and music sounds to create a surreal sense, as though the crash is a dream. This becomes important as the Haggis transforms the surreal sense to an immediate and high risk situation using mis-en-scene to create the emergency of the situation. As Officer Ryan reaches the car, the responder is able to see a series of shots which show the scene from not only Officer Ryan’s perspective, but also Christine’s. This scene forces Christine to face her internal conflicting view of Officer Ryan as an abuser screaming â€Å"no, not you. Anyone but you† at him when she realises who he is. The idea that Christine is ultimately forced to face her internal conflicts by accepting Officer Ryan can also be seen in the novel Snow Falling on Cedars as Ishmael is forced to face his internal conflict in order to be able to present the evidence to save her husband, Kabuo from conviction. Overall the 1995 novel, ‘Snow Falling on Cedars’ and the 2005 film, ‘Crash’ represents the concept of conflicting perspectives through the use of characters, setting and technique. The use of the characters Ishmael, Jean and Christine creates conflicting perspectives within themselves outlining how perspective are created and changed throughout the course of the text. Therefore In ‘Snow Falling on cedars’ composed by David Guterson and ‘Crash’ composed by Paul Haggis the concept of conflicting perspectives is represented.

Monday, July 29, 2019

Information Technology Essay Example | Topics and Well Written Essays - 1000 words - 1

Information Technology - Essay Example 2007). Similarly, the RSA cryptography standard is associated with a Public Key Cryptography Standards (PKCS) that highlights data encryption by utilizing RSA algorithm. The primary objective or reason for this standard is the construction of digital envelops and digital signatures. Moreover, the standard also defines syntax for private and publics keys of RSA. The syntax is utilized for digital certificates and the syntax for private keys is utilized for private key encryption (RSA Cryptography Standard. 2007). Public key cryptography relies on algorithms associated with asymmetric cryptography along with two incorporated keys i.e. a public key and a private key. Likewise, these two keys are separate and are utilized for decrypting and encrypting data or messages. If any user composes an electronic mail, he or she possesses a private for the email themselves. However, if the sender tries to open the email, he or she must possess a public key for accessing it. RSA public key encrypti on algorithm converts the private key to public key. Moreover, a signature algorithm that ensures authenticity of the sender can be incorporated with the private key without the intervention of the private key, as fundamentally it will not be possible to search two messages possessing similar signatures. The PKCS incorporates different versions such as v 2.1 standards that are associated with deploying public key cryptographic encryption along with digital signatures with appendix. Moreover, it also reflects ANS.1 syntax that illustrates keys for identifying different schemes. RSA is basically a public key algorithm that is invented by Rivest, Shamir and Adleman (Biskup) and is focused on an exponentiation module that comprises of two great prime numbers. Likewise, the security incorporated in RSA algorithm is focused on the solidity of multiplying the procedure associated with great prime numbers. Moreover, in the next version i.e. version 2.1, RSA multiprime function was incorpora ted. The table 1.1 shows the encryption and decryption of messages by private and public keys. Activity Keys Sending an Encrypted Message or data Utilizing the receivers public key Sending an encrypted signature Utilizing the sender’s private key Decrypting an encrypted message Utilizing the receivers private key Decrypting an encrypted signature Utilizing the sender’s public key Figure 1.1 Comparison X.509 and PGP X.509 is considered to be an ITU-T standard that is known for Public Key Infrastructure (PKI). Likewise, it specifies standardized formats associated with public key certificates and a validation algorithm for certification path. Moreover, this standard was preliminary developed in 1988 and was integrated with X.500 standard (X.509. 2007). After the integration, it was considered to be a solid hierarchical mechanism of Certificate Authorities (CA) that is responsible for issuing certificates. It is a fact that X.500 system was not completely deployed, as the IETF working group associated with public key infrastructure has acquired the standard for Internet that is considered to be a flexible environment (X.509. 2007). Besides, in the year 1998, PGP was considered to be a relatively low cost solution possessing features such as robust file, disk and email encryption suite that is based on Network

Sunday, July 28, 2019

List a phobia and explain the systematic desensitization of a phobia Essay

List a phobia and explain the systematic desensitization of a phobia - Essay Example ty disorders, and consists of teaching those who suffer from it coping strategies, establishing a hierarchy of stimuli that cause the phobic fear and then progressively and gradually exposing them to the thing they fear (Wikipedia, n.d; Rainey, 1997). When people suffer from irrational fear such as height, they tend to avoid the thing they fear. Since theyre avoiding it, their anxiety level reduces and the reduction of the fear is reinforced by negative reinforcements. Instead of this, the systematic desensitization first teaches how to reduce the levels of anxiety and fear by cognitive strategies that help control the fear rather than letting it build up inside until it becomes unbearable. These strategies can be meditation, thinking happy thoughts, concentrating on breathing and more. Having been taught how to relax and reduce their anxiety, the phobic person will be exposed to the object of his fear gradually, by first being able to talk about it, then seeing a picture illustrating the situation or thing he fear, then experiencing something similar, and finally by experiencing it. One common fear is the fear of flying. Many people think it is extremely dangerous to fly airplanes since it is high in the air and the plane can crash. These people view the experience of flying as terrifying and something which they can never do, seeing as how it completely paralyzes them. Accordingly with the systematic desensitization, the therapist will first teach the patient different ways to relax, like the ones previously mentioned. Relaxation is very important when discussing this fear, because unlike other fears from animals or other objects, flying a plane can last hours, and in this case, it is crucial to be able to fully relax. Then, having established the stimuli which cause the phobic episodes, the therapist will start with the least anxiety-provoking stimulus and gradually move on to the next one, until all of the items listed on the anxiety hierarchy have been

Saturday, July 27, 2019

Communication Essay Example | Topics and Well Written Essays - 250 words - 1

Communication - Essay Example (Holt) In this modern world where facebook has become famous it can be used as a communication tool keep in touch with the other organizations, departments and other locations. Another important tool of communication is E-mail. The success of the communication also depends on the type of technology being used. For instance if a company comprises of people who are expert in operating computer blogs, wikis and other methods of communication are the best tools to keep the organization well informed. So if the message is not properly communicated the communication will be lost. So before drafting any communication all the elements of communications must be checked. If an organization has to appoint new employees for vacant positions it is better that the organization hire from within their own organization by promoting the employees to a higher position as this will save the labor turnover cost on the other hand it will increase the morale of the employees of the company and they will wo rk more hard to improve their performance from before.. But if employees are to be hired from outside then the interview should be planned. It means that the interviewer should read each applicants resume prior to the interview. His focus should be on the core information desired. For instance, character, personality, work, experience, training, motivation etc. He should be aware of the national and state regulations regarding fair employment practices. Andy Philpot, the author

Friday, July 26, 2019

The Hobbit by J.R.R Tolkien Essay Example | Topics and Well Written Essays - 1000 words

The Hobbit by J.R.R Tolkien - Essay Example In the beginning, Bilbo Baggins is shown as the meekest of all creatures who uses to decline all of what ‎Gandalf is offering. He feels afraid and is very used to the comfortable atmosphere of his home ‎and village. Gandalf does not take no for an answer and even convinces the doubtful dwarves ‎that this is the man that will help them achieve what is rightfully theirs. His confidence in Bilbo is ‎perhaps what lights the spark in the little Hobbit who has serious understated self-esteem issues ‎even though he is revered in his community and often looked upon as the leader. ‎ ‎ There are numerous obstacles encountered throughout the journey, often life threatening or ‎involving intricate decision making. However, as Gandalf has placed Bilbo in charge of the ‎expedition, often the Hobbit finds himself in situations that he would not normally be brave ‎enough to face. Gandalf defines him, explores him, exposes him and ascends him. At a certain ‎part, Gandalf disappears leaving the dwarves and Bilbo unable to make even a small fire for them ‎to fight off the cold. Bilbo, feebly accepting to take responsibility, goes ahead and gets himself ‎and his group in trouble with three trolls. ... ?This does not hammer his confidence and it shows a steady side of him that slowly ?keeps on developing through the story. He steals a key from the trolls that later on help his group ?get to their layer. ? ? Unlike Bilbo’s confidence that slowly takes form Gandalf believes in him from the beginning. ?He says to the dwarves ‘Let’s have no more argument. I have chosen Mr. Baggins and that ought ?to be enough for you. If I say he is a burglar, a burglar he is, or will be when the time comes. ?There is a lot more in him than you guess, and a deal more than he has any idea of himself.’ (1: 104) It further embellishes Gandalf’s faith in his Hobbit friend. ? ? The old themes of heroism, loyalty and valour are pronounced in the shape of Bilbo Baggins. ?The central ideology lies in his discovery of himself. On the contrary, it is always Gandalf’s ?shadow that works on his heart, acting like a stimulant. There are still parts that beg to differ of ?Bil bo’s bravery. When they meet the all wise elves, the elves notice Bilbo’s gentle nature and ?reward swords of protection to Gandalf and the Thorin who is head of the dwarves. ?Conversely, Bilbo’s gentle nature is again revealed when he encounters the all famous Gollum. ?Whilst taking the ring that belonged to Gollum, his decision to kill the despised small mortal felt ?wrong when he was in his invisible state (while wearing the ring). It did not seem justified to him ?that he takes the life of Gollum unwarned, even though it was very obvious that his nemesis ?wanted to kill him. ? Bilbo Baggins is not a thief by occupation or by will. It is in fact Gandalf’s convincing that ?brings him onto a road where he begins to steal, not always by choice.

Thursday, July 25, 2019

Bridgestone corporation's strategy Assignment Example | Topics and Well Written Essays - 250 words

Bridgestone corporation's strategy - Assignment Example ity of a firm to extend backwards into the sources and supplies of its strategic materials and/or forward into the supply chain outlets of the final product to the end users (Rudie, 2003). Bridgestone Corporation is one of the most vertically integrated companies in the tire manufacturing industry. The Corporation engages in backwards integration through internal manufacturing and production of key raw materials and intermediate materials used in the production and development of its strategic tire products. According to the 2014 Bridgestone data report, the corporation operates several plants around the globe, which engages in the manufacture and supply of raw materials and intermediate materials into the company’s tire manufacturing plants (Bridgestone Corporation, 2014). The corporation has a total of 18 raw materials plants distributed across America’s (7), Europe(1), Middle East/Africa/Russia(1), Asia Oceanic(7) and Japan (2). The Saga plant, based in Miyaki-gun, S aga, is the Corporation’s leading manufacturer and supplier of steel cord material used in the development of the tire products. Other raw material manufacturing plants held by the subsidiaries include Bridgestone BRM Co., Ltd., Bridgestone Tread System Co., Ltd., Japan Mould Industry Co., Ltd., Bridgestone Plant, Engineering Co., Ltd., and Asahi Carbon Co., Ltd (Bridgestone Corporation, 2014). The backward vertical integration strategy assumed by Bridgestone Corporation has enabled it to gain a competitive advantage in the global tire manufacturing industry. Backward integration enables the Bridgestone Corporation to ensure stability in the supply of high quality steel cord materials (Rudie, 2003). In addition, vertical integration enables the Corporation to focus on developing innovative raw materials for the development of the strategic tire products, and ensuring smooth running of its operations. Lastly, vertical integration enables the Corporation to optimize its internal resources and

To what extent does states can to cooperates from realists perspective Essay

To what extent does states can to cooperates from realists perspective - Essay Example In the modern world, a bunch of subjects compete for attention as a result of the proliferation of issues that every international relations theory seeks to acknowledge (Jan, 2008, p 473; Brown, 1998, p 26). There are three prominent theories that endeavor to explain international relations and cooperation. These are the realism theory, constructivism theory and the liberal theory. This discussion seeks to explore the extent in which countries can cooperate from a realist’s perspective. Cooperation of most states arises in a realist manner where countries unite at the face of adversity. When countries perceive an increasing threat that may interfere with their interests, they collaborate momentarily. For instance, some of the Gulf States joined hands with Saudi Arabia at the looming threat of conflict between Iraq and Iran. As a GCC member state, Saudi Arabia was concerned that some small states may collaborate with either Iran or Iraq, both of which are its adversaries. Saudi Arabia reached for the smaller Gulf States to unite momentary to counter the regional hegemony wars involving Iraq and Iran. Further, cooperation between member states happens when the six states making up the GCC perceive a common interest in the cooperation. Cooperation of the member states happens mostly on economic basis. It is for that reason that there exists fluid cooperation on other aspects affecting individual states. Cooperation in a realist world happens when states have great interest in two principal areas; security and economics. What is realism? Realism theory of international relations views world politics as being advanced by competing self interests. Proponents of realism theory observe that the tensions and relations between countries is a battle of supremacy in which every country wants to preserve and enhance its military security and economic welfare at the expense of other nations. Unlike the liberal theory, that views international relations as a win-win si tuation, realist theory perceives international relations as a zero-sum game. This implies that gains in one nation come at the cost of others (Gismondi, 2008). Conventional realism stemmed from the failure to maintain peace after world war one. Realist theory is linked with terms such as realpolitik, geopolitics and balance of power. Realism theory presents grim view of global relations as being in a unending state of conflict and war. Power, economic and material possessions, capabilities and security motivate and guide state more than humanity and altruism values. Modern realism Modern realism started as a reaction to the breakdown of the international order of the post world war one in 1930s. The collapse of great power cooperation after the Second World War helped form realism as the dominant approach to the premise and application of global politics in the United States. During the cold war, endeavors to replace realism from its prevailing position were continuously disillusio ned by the unending salience of the soviet-America antagonism. The cold war antagonism, however, ended in early 1990s after the disintegration of the Soviet Union, leaving United States as the key superpower. However, china is emerging as a superpower, countering the United States unipolar moment. Basic tenets of realism theo

Wednesday, July 24, 2019

Dynamics of Leadership Personal Statement Example | Topics and Well Written Essays - 2500 words

Dynamics of Leadership - Personal Statement Example Science Group project: I was a leader in this project. My responsibilities included a selection of topic, distribution of tasks and making sure the tasks were completed in time. I was successful in it as I selected the Solar System project and everyone was happy with my selection. My group which consisted of four students other than I had previously decided which topic to choose from. We decided that we will complete the task in four days and do all the work in Science class as our teacher gave us time to work on our project. Cutting of planets, drawing, coloring, and pasting were all distributed equally. All of us participated equally in the project and it was delivered in time.   English Group Project: the class was divided into 3 groups. We used to sit in three rows so each row consisted of one group. We had a class quiz in which the team which gives most of the answers won. I always used to sit on the front desk, therefore, my teacher made me the leader. This was a difficult task for me because being a Chinese it is difficult to cope up with elective English classes. I tried to answer and make another answer but everyone was scared to do so. I got angry and could not lead my team as well as I did not know how to motivate them.   Group Task (China Day Celebration): This was a national holiday, therefore, we were supposed to decorate our school prior to it. This was a task involving all of the class. We had to make our flag and write enthusiastic messages for our country. Each class was supposed to decorate their own classrooms. The best-decorated classroom was supposed to get the reward. I observed that many students did not take a keen interest in it and tried to put their tasks on others. This added to the delay in the completion of the project and we did not come up with good work as compared to the winning class.

Tuesday, July 23, 2019

Financing Health Care in the US Term Paper Example | Topics and Well Written Essays - 1250 words

Financing Health Care in the US - Term Paper Example prior to delving into the intricate issues and concerns that the government is trying to address to improve its present stance. Thereby, from among the scholarly articles reviewed on the subject, the suggestions and recommendations of various authors would be revealed in conjunction with one’s personal assessment on the subject of this discourse. There are two types of access to the delivery of health care services in any nation: through the public or private sectors. Generally, the private sector in any health care system of a nation consists of divergent nongovernmental institutions of an array of levels and dimensions. Public health is predominantly financed with funds from the government that is solicited from public sources such as tax revenues. The health care in the United States is dominantly serviced and administered by private health institutions where no public hospitals are deemed owned and operated by the federal government. As revealed by Holstein and Litzinger (2008, 15), â€Å"in the U.S., the rapid rise in health care cost and low access are widely recognized as twin problems. Health care reform in this country first focused on cost containment through managed care to make health insurance affordable, and then shifted to expanding access to coverage at the state level without doing away with the private health insurance market†. This fact was likewise validated by Siegel, Mead and Burke (2008) who noted the parallel contentions in the rising costs of health care services coupled with the increasing number of Americans who are uninsured. Health insurance can actually be availed through an employed individual’s employer or through the employers of either the spouse or parents’, as applicable. Health insurance can also be purchased individually depending on one’s capacity or financial status, and the required scope and contents of health insurance coverage. The problem is

Monday, July 22, 2019

Air force fume billboard Essay Example for Free

Air force fume billboard Essay Air force fume billboard Introduction   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   There are observable characteristics, which attract customers to the product. Basing our argument on the above film are lifestyles, standards, color, physical appearance, taste, motivations, opinion, and desires. These take account of distinctiveness such as cheerful, preservationist, and safety-cognizant, value-oriented, class-driven. In our case, color attracts ones attention such that the distant-customers move closer.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In 1943 John Garfield, John Ridgley, Gig Young  » The troop of an Air Force bomber disembark in the Harbor in the outcome of the Japanese assault and is mailed on to Manila to provide a hand with the attack of the Philippines (Suids, 1996).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Color information is supportive in identifying objective. It can be, sometimes, misleading. One of the tribulations with regard to images is the equivalent objects might have dissimilar colors and intensities when the illumination situation changes or there are dimness. It occurs predominantly often in our assignment. The billboard images for patterns were taken independently in a different circumstance from the unambiguous game in the video progression. However, in the live match dissemination, the lighting condition is diverse and they even revolutionize often during the match (Toyoshima, (2008).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Furthermore, there are numerous shadows caused by the players ahead of the billboards. When we to make use of the template color as the sample color and try to come across areas with the related color in the edge. The tolerant level is sky-scraping, a lot of gratuitous area will be incorporated and the diminution in searching area is not very considerable; on the other hand, if the lenient level is low, we have the risk of ignoring the main area. The brightly brown color captures awareness to the customers. The billboards exhibit great advertisements to fleeting pedestrians and even drivers. Characteristically, screening outsized, apparently amusing slogans, and distinguishing visuals. The billboards are exceedingly noticeable in the summit in market places. The bulletins are the leading modern-size billboards. They are located mainly on major highway, expressway and market zones to attract or capture peoples’ attention (Toyoshima, 2008)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   More so, imagery as a stylistic device applies during advertisement. For instance, â€Å"AIR FORCE† here implies war. This is the war of the crew against the Japanese as explained on synopsis. This type of film designed in such a way that it entails different styles. Since it is in a class of luxury has to be standard and specially designed to reach the test of customers. Primarily a good copy communicates to the ideal clients. In this case, the copy creates a great physical impression to the customers. In so doing more, sales are systematical done due to its unique appearance on the customers’ eyes (Suid, 2002).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Addition to that, customers like a description on the product in the market. Therefore, the synopsis contained on the copy gives customer detailed-evidence information in the copy. Furthermore, copywriter includes power words, which are very patting to the clients. Occasionally, these words are termed as power words which a very influential to the customer. They are advisable to apply in the language. In the above copy, â€Å"AIR FORCE† is an example of power words. Edges are very noteworthy illustration features in image processing. They are the points with high passion contrast and portray margins of objects contained in an image. Using periphery information of a copy also significantly condenses the amount of data while preserving the essential structural properties of an image. This gives a good impression to sight hence encouraging more purchases (Toyoshima, 2008). References Suid, L. H. (1996). Sailing on the silver screen: Hollywood and the US Navy. Annapolis, Md: Naval Inst. Press. Suid, L. H. (2002). Guts glory: The making of the American military image in film. Lexington: University Press of Kentucky. Toyoshima, Y. (2008). Japanese movie billboards: Retro art from a century of cinema. Tokyo, Japan: DH Publishing Inc. Source document

Sunday, July 21, 2019

Contribution Of Positivism To Society Philosophy Essay

Contribution Of Positivism To Society Philosophy Essay Since the invitation of the term of positivism in the late eighteenth century, this concept has been widely used and discussed. This method stresses on the use of quantitative evidence and is mostly used in the study of natural objects. As positivism provides people with a method to avoid speculation but to make scientific and reasonable prediction by the study of hard facts and scientific knowledge, the method is more and more used in the study of human society. The application of positivism in the study of society has brought many benefits and has promoted the development of society study. At the same time, there are some doubts about the ability of positivism to study society efficiently in the same way of studying natural objects. The essay is to critically discuss the contribution of positivism to the study of society. A rejection of speculation Positivism is firstly used in the study of natural science. With the assistance of positivism, the natural sciences have experienced great development and changes. Many new discover and findings have been made. At that time, the study of human society is still at a stage of the study of the abstract ideas and something metaphysical. The development of the society needs a better and deeper understanding about its nature and laws (Althusser. 1970). The study of society needs to be more regulated, systemized and scientific. The introduction of positivism has helped the study of science to get out of the old trap. Personally, the most important contribution of positivism to the study of science is the rejection of speculation. The introduction of positivism in social study leads people to make studies and predictions based on empirical data and hard facts. People make law-like regularities based on the study of the hard facts and generalize the conclusion to a wider scope in society. Comte is the first one to bring up the idea of sociological positivism. Actually, he brought up this concept under the influence of Enlightenment. The introduction and expanding of science have shocked the world. Comte has studied the sciences and the circular dependence of theory, and then he brought up the first sociological version of positivism (Gordon. 1991). He suggested that the society has three stages. The first stage is the theological phrase when people will get the knowledge and belief from God. Human society is governed by God and assessed in association with the divine world. People will take the doc trines and words of the church rather than the rational science. The second stage is called metaphysical stage. In this period, human will be aware of their innate rights and democracy and dictators should appear to defend the humanity rights. The final stage is the scientific one. It can also be called positive one (Craib. 1997). In this stage, the individual right will be most valued than in any other periods. Each one should have the right to get what he or she with his or her free will and ability. The doctrines and thoughts given by Comte are much different from the ones in modern sociological positivism. The theory is not absolutely right. The explanation and use of positivism are not fully developed in his work (Halfpenny. 2001). However, his brought up of positivism has made a great contribution. Personally, the meaningful important contribution of his version of sociological positivism is his appreciation of human right, the respect for objective natural rules and scientific knowledge. Positivism is born with a duty to fight against the past blind faith. It provides people with a new way to get to know the society and the world. At that time, it is a great fight against the dominion of peoples mind by God and the church. He suggests that the effective way to evolutes from the inferior theological stage to the superior positivism stage is through the objective and scientific study of the past of the society and other things. In this way, positivism leads people to give up t he reliance on God and the church for knowledge about humanity and the society and turn to the objective social disciplines. The study of society began a transition from speculation to reason and logic (Pleasants. 1997). The further development of positivism has more and more used hard facts and empirical data to fight against the metaphysics and speculation. The deployment of scientific methods Another great contribution of positivism to the study of society is its supreme valuation of the use of scientific methods like statistic analysis to study the world and the society. In the field of positivism, all the knowledge is generated based on the scientific study of past experience and data got in observation (Rabinow. 2006). Hard facts and empirical data are more powerful than any fancies. The philosophers of positivism try to use the methods which are used to study natural sciences to study the science. They try to make laws for the changes and development in society, conduct experiment to mimic the situation in the real world and try to use different factors as alternatives to make prediction of the outcome. One of the most important meanings of the use of scientific methods in the study of society is that it allows people to search for a reasonable casual explanation for the activities happen in the society. Otherwise, the social phenomena are most usually explained by the reasons of accidence and the will of God or something else (Smart. 2001). Just as has been mentioned, speculation is common in that situation. The use of scientific methods can help people to analysis all the external and internal factors in a scientific manner and to explore the causal relationship between these factors and the arising of a specific outcome. There is one fact has to be aware that though positivism stresses much on the importance on the use of facts and statistics, that does not mean the study of society is the pure study of these things. The ultimate aim of the use of the scientific methods is to conclude laws based on the analysis result of the facts and the empirical data. Another important contribution of positivism in the deployment of the scientific methods to study society is that, it helps to eliminate subjective thinking and opinions which may lead to bias in the outcome. One of the most obvious characteristics of the study of science is the objective attitudes and methods in the study. The application of these scientific methods in the study of social science, in a way, compels people to look directly at all the facts, no matter if the fact is pleasing or disgusting. Any lies which may make one feel better when looking at the facts can not exist in these scientific methods, as they can not be accounted as a statistical parameter (Cohen. 2007). The subjective opinions can not work to distort the outcome, as the objective data can not be influenced. That is why there are so many cruel but true social laws are discovered by positivism philosophers. However, there are also some shortcomings in the use of the scientific methods. In a sense, the study of social science is more complex than the study of science. Most factors in the study of science can be clearly defined and measured. If not all the factors can be defined at present, they can be further completed as science develops. In the study of social science, many factors can not be clearly defined and measured. The factors are too complex to name them all (Ashley. 2005). The function of them is also very complicated. Too much reliance on the use of the scientific methods will lead to an extreme situation for the researchers. After all, social science is much different with natural science. People especially the researchers can not neglect that fact, or they may lose the ability to think about the society in a human way. To work like a machine will be a disaster. The revealing of social law As has been mentioned in the last part, the ultimate aim of the use of the scientific methods are to discover the social laws hidden behind the diverse but similar social activities. Unlike the doctrine given by the church, the social laws given by sociological positivism are based on the numerous facts and data. Theses social laws are concluded not for the aim to guide peoples behavior and life, but just to reveal the objective laws that are working in the society (Rashed. 2007). The revealing of the hardened social laws helps people to get to know about the nature of the society. In this way, the study of human society has get deeper from an abstract but superficial level to a concrete deep level. Durkheim is a great sociological positivism researcher in Europe. He has studied about the laws of social structure which will guide the evaluation of the society and determine the rise or fall of a certain society. Thus with the laws, it is possible to define if a society is healthy or n ot. The laws can also make the researcher to bring up reform or remedy for the society at stake. The laws about the nature of the society are discovered by the researchers by the study of the hard facts and the empirical data. Then theses laws are used in every branches of the human social science. Many reforms about the society and the making of new laws from then on are made under the guide of these social laws. For example, John Austin introduced his utilitarianism theory in his foundation of jurisprudence. He found that the origination of government laws and rules is not the social contract, but the utilitarian thinking of human being. Some pleasing masquerades about the nature of the society have been laid bare. That is no bad. As if the society is to develop, the development can not be made on basis of the lies. The Noble Lies of Plato is not likely to be beneficial in the modern society. There is one thing very troublesome about the conclusion of laws in sociological laws. It is known that along with the development of sociological positivism, there have emerged many branches of this science. Different branches usually have different beliefs and different chosen of study method. The conclusions or the social laws they have made also differ much. It is not justified to say who is right or who is wrong. The social science is more complicated and has many different possibilities. Even with the use of objective scientific methods, it is hardly to reach a single right law. Personally, these laws can not be applied in every situation but should be used in consideration of the different context. 5.0 Conclusions Overall, the introduction of positivism in the study of society is a great development. It has helped the study of social science to break the limit of abstract metaphysical methods. Positivism has provided the social science with a new way to perceive the world. The most important contribution of positivism is that it helps people to break the limit of mind by God and the church. People turn to the study of hard facts and data from past and experiment to get knowledge rather than only from the teaching the church. The use of the scientific methods, people can understand the society in a more reasonable way. The subjective bias is avoided in the study. Sociological positivism researchers have also made many in depth laws based on the scientific study which provide people with more initiative to manage the society. However, there are many problems troubling the use of positivism in the study of society. To study society like a natural science is under great argument. Human society is much more complex and full of changes. Too much reliance on the scientific method but neglect the human thinking will turn to people into machines. The conclusions made will are not be reliable.

Decision-Making Process of Chinas Economic Sanctions

Decision-Making Process of Chinas Economic Sanctions It is undoubtedly that the rest of the world are increasingly concerned of Chinas economic power and how will China intend to use the power to advance geopolitical ends. China has enjoyed rapid economic growth since the introduction of market reforms in 1978. The unprecedented economic growth has made China becoming the second biggest economy in the world in the year 2010. Not only did Chinas economic power improves, the significant economic growth has also provided China with greater opportunity and strength to increase political influence abroad through economic means, so called economic statecraft. Today economic statecraft has become an ever more evident feature of Chinas behavior in the international system, as the level of interdependence between China and the global economic grows. To define economic statecraft more clearly, this study will rely on Baldwins (1985) definition. Baldwin defines economic statecraft as the use of economic levers by states attempting to influence other international actors through offering economic incentives or imposing negative sanctions[1]. In other words, economic statecraft is divided into positive incentives and negative sanctions, and these will take in the forms of trade and capital. For example, positive incentives in the form of trade are favorable tariff discrimination and trade subsidies, while capital incentives in the form of capital are foreign aid and investment guarantees. Examples of negative sanctions in the form of trade are embargo, boycott, and unfavorable tariff discrimination, while sanctions in the form of capital are aid suspension, freezing assets and financial control. Chinese leaders generally prefer carrots over sticks, as economic incentives provide mutual benefits to both economies and thus resulting in a win-win outcome. Examples are Chinas foreign aid activities in developing countries and Chinas free trade agreement with other countries, which both cases not only enable China to strengthen its relationship with other countries but also allow both countries to benefit economically. While the use of economic sanctions by China has been rather rare, which is not a surprising phenomenon. This is because China has a long-standing stance on the opposition of economic sanction[2]. It opposes sanctions as a way of resolving issues and condemns sanctions as an immoral punishment of vulnerable and the innocent populations. Chinas opposition is demonstrated through top Chinese leaders publicly criticized other countries for imposing economic sanctions to punish wrongdoers. One example is that a Chinese foreign ministry official, Jiang Yu responded to t he Frenchs call for massive sanctions against Iran to cease its nuclear program in 2009, China always believes that sanctions a pressure should not be an option and will not be conducive to the current diplomatic efforts over the Iran nuclear issues.[3] Another example is that the Chinese foreign minister, Wang Yi opposes sanctions on North Korea and expressed his view to the Japanese counterpart that unilateral sanctions were not the only answer to managing the situation on the Korean Peninsula and it would not resolve the nuclear issue of North Korea[4]. These two examples reflect Chinas belief of inefficacy of sanctions. Besides public critics of sanctions, China had also employed its Security Council veto to oppose against sanctions on countries including Myanmar in 2007, Zimbabwe in 2008, Syria in 2011 and 2012. Not only did Beijing thinks sanction is ineffective, but it also think sanction can inflict injury to the target countrys economy and the living of its people[5]. Beijing has repeatedly insisted that peaceful means should be employed as the priority option to resolve conflict, while sanction should only be used as a last resort[6]. Indeed Chinas opposition stance on sanctions is consistent with its commitment to peaceful development and its pursuit as a responsible power. Chinas peaceful development has been the central theme of Chinese foreign policy since 2004. Beijing sees peaceful development as crucial to preserve a peaceful environment for sustaining its economic development and stability. In other words, China advocates a world with peace and harmony, in which all countries are benef iting from the shared prosperity. China also has been working towards to build its image as a responsible power to mitigate Chinas threat theory through proactively involve in international affairs. Despite Beijings long standing negative perception of economic sanctions, there is a trend of China increasingly make use of economic coercion in the international arena, which marks a new and significant phenomenon that contradicts with Chinas rhetoric and its long-standing stance. This is evidenced in the four cases that will be further explored in the later chapters. The first case is Chinas proposed economic sanctions on USs companies that engages in arms sell to Taiwan in 2010. The second case is Chinas imports ban of crude soy oil from Argentina as a retaliation in response to Sino-Argentina tension in 2010. The third case is where China imposed an export ban of rare-earth on Japan in face of the Sino-Japanese tension in the disputed maritime island in 2010. The last case is Chinas restriction on Philippiness imported bananas following the Scarborough Shoal incident in 2012.These cases indicate the increasing propensity of China to exercise economic coercions. The question pres ents here is that provided Chinas negative perception of economic sanction, why China still imposes economic sanction on other countries as a tool of economic statecraft? What are the decision process driving China to exercise economic sanctions? What are the characteristics of Chinese economic sanctions? It is also worth noting that majority of the existing literature on Chinese economic statecraft focuses on the effects and efficacy of Chinese economic statecraft rather than on its motives and application. Because examples of Chinese economic coercion are relatively limited and understudied, an in-depth analysis of Chinas economic sanction is vital to understand the decision making process and what triggers China to resort to coercion especially in recent years. This study also further seek to explain how Chinas exercise of economic sanction fits into Chinas grand policy? This paper builds on Chinas economic statecraft literature specifically Chinese economic sanction in the field of International Political economy (IPE) by drawing key definition and concepts from influential works. 1. Economic Sanctions and its effectiveness As discussed in Chapter 1, economic sanctions are stemming from economic statecraft. Daniel Drezner (2003) defines economic coercion as the threat or act by a sender government to disrupt economic exchange with the target state, unless the target acquiesces to articulated demand.[7] Many scholars have used sender to refer to the state that imposes the sanction, while target means the sanctioned countries. However it is noted that many studies today have used the term economic coercion and economic statecraft interchangeably despite that they are different[8]. To align with the current studies, this paper will treat these two terms as equivalent. There two major weaknesses with this definition. First, Drezners definition of sanction is too restrictive. It only views the behavioral change as the only desired outcome of sanctions by the sender, which in this case is the acquiescence to the senders demand. However, sanctions can also have outcomes such as signal and deterrence. Second, t he definition limits itself to only one desired outcome by the sender. In fact, senders are able to achieve more than one outcome on the target by imposing sanctions. Lindsay and Giumelli demonstrate that economic sanctions can achieve outcomes other than behavioral change and hold multiple goals. Lindsay claims that sanction can take up to five different actions including compliance, subversion, deterrence, international symbolism, or domestic symbolism[9]. Giumelli also defines three dimension that sanction can take, which are coercion, constraint and signal[10]. For the purpose of this paper, I will utilize Giumellis three means of economic sanction to evaluate my dependent variables in Chapter 3. Most existing literature on economic sanctions focus on measuring the successful rate of economic sanctions. While the majority of literature in the 1970s and 1980s saw the low successful rate of economic sanction, many scholars concluded economic sanction to be ineffective. The study conducted by Hufbauer, Schott and Elloitt is one of the first to challenge the negative perception and finds that 34 percent of cases in economic sanctions were successful in the twentieth century[11]. However, the findings has later been contested by other scholars. Scholar like Robert Pape re-conducted the study using the same dataset, yet he finds less than 5 percent of sanctions had succeeded and concludes their study inflated the success rate[12]. On the other hand, Drezner holds an opposite view than Paper where he asserts that success rate is potentially undervalued as a result of selection biases[13]. He argues that there were many cases where economic coercion ended at the threat phase rather than the impositions phase. These cases show greater chances of succeeding than when they are imposed due to change of pre-emptive behavior. Since Hufbauer et al. select those cases that are less likely to succeed when sanctions are imposed, Drezner argues that they downplays the role of hidden hand of economic coercion and hence the success rate is far higher. These researches share the common weakness in which they have solely depended on the behavioral change criterion to gauge the successfulness of economic sanction. This problem is exactly the same as the definition earlier. Without taking into account other effects of economic sanction, the effectiveness of sanction cannot be measured. This raises a question if really economic sanctions are proved to be so unsuccessful in practice, why policymakers still depended on it for its state governance? Not to mention that today there is still no consensus reached as to the degree of success of economic sanctions. This is because of a lack of a shared model for the study of successful sanctions. However, in general scholars agree on that a successful economic sanctions is to keep the target costs of deadlock and potential vulnerabilities large while having the cost of imposing small. For instance, Hufbauer et al. in its 3rd book edition advise that policymakers require to evaluate both the vul nerability of the target country to prospective sanctions and the viability of maintaining the sanctions regime[14]. Drezner in his book the sanctions paradox illustrates the importance to enlarge the gap in the costs of sanctions impositions, meaning to maximize the targets costs of noncompliance and minimize the senders costs of imposition[15]. Beside this, he also argues that the low expectation of future conflict between the sender and target will make sanctions more likely to succeed. His argument has proven to explain why allies are more likely to take larger concession than the case with adversaries. It is worthy to note that the tools of economic sanctions are increasingly effective today than a decade ago, with improving abilities to enlarge the costs of targets while limit the senders costs. Smart or targeted sanction is one of them, where it was first introduced in 1990s. Smart sanctions are different to comprehensive sanctions in that they impose sanctions by targeting an individual or limited sectors compared to targeting the whole country[16]. By doing so, smart sanctions are able to effectively increase the costs in that group while reduce the humanitarian effects on the target countrys population and disruptive economic impacts to other sectors. Asymmetric interdependence is another major tool that has been increasingly used by policymakers. Hirschman demonstrates that asymmetry interdependence serves as a source of power to the stronger and larger states as they have the coercive leverage over the weaker and smaller states, with the smaller states are depended on the economy of the larger state[17]. Building on the concepts of Hirschman, Robert Keohane argues that asymmetric interference can also apply to weaker states provided that they have the asymmetric advantage in certain groups of the stronger states[18]. This thinking has challenged the original idea of asymmetry and provide explanation of why would weaker states impose sanctions on stronger states. Undoubtedly, the recent evolution of sanction tools stemming from the classical ones has increased the proliferation of the use economic sanctions. 2. Chinese economic sanctions Few scholars have commented on Chinas economic sanctions, and little remains to be found in the literature on this topic. This is simply because, strictly speaking, China does not formally impose economic sanctions unilaterally on other countries. Instead, China pursues other economic maneuvers that essentially have the same effect. To remain politically correct and technically accurate though, scholars use the term economic coercion to describe Chinas behaviour. Despite sharing the same objectives, economic sanctions mainly used by rich western countries and economic coercion have its own defining characteristics. Specifically, Chinas use of economic coercion is informal and indirect[19]. The Chinese government would never declare the true reason for the economic restrictions. Instead, other unrelated reasons are cited, leaving the target country to connect the dots themselves. Some scholars are starting to believe that Chinas longstanding practice of shunning economic sanctions will soon come to an end. Beijing has become increasingly reliant on economic coercion to solicit policy change or as a means to send a message[20]. As the number and degree of tensions escalate, economic coercion may not be adequate. Chinas growing economic clout is another alarming development for some. With greater power, some scholars fear that China would be more inclined to use what is readily available at their disposal. On the opposite side of the argument, scholars believe that China would continue its limited use of economic policies as a tool. The argument goes like this: Economic coercion or sanctions are detrimental to Chinas core national interests[21]. In particular, Beijing places great emphasis on peaceful development and creating a good international image. Imposing sanctions or coercion on other countries can seriously undermine that objective. Moreover, the stringent rules of the WTO greatly restricts the range of options that is available to Beijing. Pursuing an aggressive economic coercion strategy puts undue risks of violating WTO rules and damaging the countrys economic health.   1. Hypotheses After the analysis of literature review of economic sanctions, the following hypotheses are made to address the research question why China imposes economic sanctions? What trigger the use of economic sanctions? What are the distinctive characteristics of Chineses economic coercion? H1: China exercises economic sanction on non-allied countries when they harm Chinas national interest provided that the gain derived from sanction outweigh the cost. This hypothesis is built on the foundation of Drezners Sanction Paradox theory, which argues that sanctioning states are more likely to sanction adversaries than allies despite a lower success rate. The adversaries would take a larger concessions if target incurs significant more costs than senders costs. Since China views economic sanction as a last resort of resolving conflict, China will only imposes coercion when its core interest is infringed. In this case, the independent variable is damage or no damage to Chinas national security, while the dependent variable is the use of sanction. H2: China uses economic sanction where there is a sectorial asymmetric economic advantage over the target country Asymmetric economic advantage allows China to have a higher chance of success in achieving its political goals in target countries with limited costs. This hypothesis also considers the importance of smart sanction for Chinas decision to impose sanction. In specific, asymmetric economic advantage in a certain sectors offers coercive leverage and source of power to contest against equally strong or stronger countries. China takes advantage of the sectorial asymmetric advantage not only can generate the most optimal benefit-cost outcome but also minimize negative impacts on the whole economy and humanitarian impacts on the population. Independent variable is economic sanctions with sectorial asymmetric economic advantage, and dependent variable is the use of economic coercion. H3: China uses implicit economic sanctions as its prioritized option and uses explicit economic sanction as a last resort Implicit economic sanction indicates sanctions in a non-declared and closed-door settings. The implicit feature of economic sanctions allows China to gain flexibility and minimize diplomatic fallout. It also allows China to reveal a relatively more consistent image of a responsible power that advocates peaceful development and peaceful resolution. China will only adopt explicit economic sanctions if implicit sanctions cannot work. The independent variable in this hypothesis is implicit economic sanction, and dependent variable is the use of economic sanction. 3. Case Studies In order to examine the validity of these three hypotheses that together contribute to reasons why China uses economic sanctions. This study explores four case studies where China imposed economic sanctions against four different countries, which are the 2010 Sino-Taiwan arms war, the 2010 Sino-Argentina crude soy oil, the 2010 Sino-Japan rare earth war, and the 2012 Sino-Philippine banana war. In order to reduce the selection and personal biases, this study compares four case studies and identifies the similarities and differences between these studies. On top of that, quantitative measures is also adopted. In detail, the monetary costs of both the sender and target countries, the time period of the target countrys response to Chinas sanctions, as well as the impact of the sanction on the countrys economy are measured. Given that these four cases are all trade sanctions, trade statistics are collected from United Nations Commodity Trade Statistics (UN Comrade). These statistical results will also be contrasted case-by-case and is subsequently review together with the qualitative results. Even though the quantitative measures are not used to measure the effectiveness of Chinese coercion levers, they provide insights on the rationale why China employs these levers. The result can also confirm Chinas implementation of implicit economic coercions, as some may argue that Chinas moves are not economic sanction where they are independent of those incidents. Timeline/schedule for the thesis January: Amend and Complete literature Review and methodology chapters Research and examine the current literature on the four case studies February: Analysis of the qualitative analysis of four case studies and make comparison between the four Conduct quantitative analysis of the case studies and make comparison March: Interpretation of the results from both qualitative and quantitative analysis and make conclusion April Final submission [1] Baldwin David, Economic Statecraft (New Jersey: Princeton UP, 1985), 40-42. [2] James Reilly, Chinas Unilateral Sanctions, The Washington Quarterly 35, no. 4 (2012): 121-133. [3] Willem V. Kemenade, China vs. the Western Campaign for Iran Sanction, The Washington Quarterly 33, no. 3 (2010): 99-114. [4] Huileng Tan, China tells Japan sanctions against North Korea wont resolve nuclear issue, CNBN, September 14, 2016, http://www.cnbc.com/2016/09/14/china-tells-japan-sanctions-against-north-korea-wont-resolve-nuclear-issue.html (accessed December 8, 2016) [5] Mu Ren, Chinas Non-intervention Policy in UNSC Sanctions in the 21st Century: The Cases of Libya, North Korea, and Zimbabwe, Ritsumeikan International Affairs 12, (2014):101-134 [6] Ibid. [7] Daniel W Drezner, The Hidden Hand of Economic Coercion, International Organization 57, no. 3 (2003): 643-659. [8] Baldwin David, Economic Statecraft (New Jersey: Princeton UP, 1985) [9] James M Lindsay, Trade Sanctions As Policy Instruments: A Re-Examination, International Studies Quarterly 30, no. 2 (1986): 153-173 [10] Francesco Giumelli, Coercing, Constraining and Signalling: Explaining UN and EU Sanctions After the Cold War (Colchester: ECPR Press, 2011), 3 [11] Gary C. Hufbauer and Jeffrey J. Schott and Kimberly A. Elliott, Economic Sanctions Reconsidered: Supplemental Case Histories, (Washington, D.C.: Institute for International Economics, 1990) [12] Robert A Pape, Why Economic Sanctions Still Do Not Work, International Security 23, no.1 (1998): 66. [13] Daniel W Drezner, The Hidden Hand of Economic Coercion, International Organization 57, no. 3 (2003): 643-659. [14] Gary C. Hufbauer and Jeffrey J. Schott and Kimberly A. Elliott, Economic Sanctions Reconsidered: Supplemental Case Histories, (Washington, D.C.: Institute for International Economics, 2009), 690 [15] Daniel W Drezner, The Sanctions Paradox: Economic Statecraft and International Relations, (Cambridge: Cambridge University Press, 1999), 13 [16] Daniel W Drezner, Sanctions Sometimes Smart: Targeted Sanctions in Theory and Practice, International Studies Review 2011, no. 13 (2011): 96-108 [17] Albert Hirschman, National Power and the Structure of Foreign Trade,(Berkeley: University of California Press, 1980). [18] Robert Keohane, and Joseph Nye, Power and Interdependence, 238-240. [19] James Reilly, Chinas Unilateral Sanctions, The Washington Quarterly 35, no. 4 (2012): 121-133. [20] Bonnie Glaser, Chinas Coercive Economic Diplomacy: A New and Worrying Trend,CSIS, August 6, 2012, https://www.csis.org/analysis/chinas-coercive-economic-diplomacy-new-and-worrying-trend, (Accessed on 11 December 2016) [21] Jianwei, Liu. Is china an emerging sanctioning state? Cooperation for a Peaceful and Sustainable World Part 2, 2013, 225-240. Â