No Puerto Rico Move For Billionaire John Paulson

No Puerto Rico Move For Billionaire John Paulson

No Puerto Rico Move For Billionaire John Paulson

Contents

TOC o “1-3” h z u Executive summary PAGEREF _Toc381074927 h 1Brief summary of the article PAGEREF _Toc381074928 h 1Views on the issues PAGEREF _Toc381074929 h 2Conclusion PAGEREF _Toc381074930 h 2

Executive summaryThis article is about John Paulson a billionaire fund manager of SAN JUAN, Puerto Rico. He is the founder and president of Paulso & Co and a native of New York. There are claims in the media of his supposed intentions of moving to Puerto Rico and establishing a residence there but he denied this claims. However, he has considered investing in real estate but has absolutely no plans of making the island his permanent residence. There are also claims of mass exodus from Puerto Rico due to a stagnant economy and crime among other problems (Burton, Ruhle, & Mider, 2013).

Brief summary of the articleThere are various opposing views that are brought out in this article by several parties. The first party is the media. The media has reported severally on John Paulson’s intention to move permanently from New York to Puerto Rico Island. They base their claims on the fact that John Paulson is taking advantage of the changing tax laws and hence the move will help him cut his tax bill. The media support their report by claiming that John Paulson’s company has assets that are worth about $18 billion under its management and therefore the company would benefit if the president moved to the island (Roche La Julia ,2013).This is due to the fact that the new tax law would be of great advantage to John Paulson since as a new resident he would be exempted from tax on the gains in his capital since this is the principal source of income for extremely wealthy investors like John Paulson. The other part which is John Paulson himself denies this claims made in reports by the media. He denies having any intentions of establishing a permanent residence in Puerto Rico. He does not deny having considered real estate investments in the island but has no plans whatsoever of establishing a permanent residence in Puerto Rico.

There is totally different proposal set forth which claims that if John Paulson is really considering making Puerto Rico his home the move would be quite an unusual one. This is because many people have been moving out of Puerto Rico in the recent years due to the fact that the island’s economy has been a stagnant one. In the same island there are problems such as crime among other problems. The population has gone down and it is now 3.7 million. This raises the question as to whether moving to Puerto Rico is a wise decision.

Views on the issuesThe media has a right to report on the views they have on the matter however the person who has the answer is John Paulson himself. Therefore he should be given a chance to defend himself and tell the public his stand on the issue. My view on the issue is that John Paulson should not consider making Puerto Rico his permanent home. This is because many people are leaving the island due to the stagnant economy and other problems then why should he consider going to live let alone invest in such an area.

ConclusionI think John Paulson did not move to Puerto Rico. The change in tax law was not a good enough reason to make him move to the island. He might have considered other factors such as the stagnant economy and other problems facing the island and withdrew any intentions that he had of moving if he had any. He just continued managing SAN JUAN from New York as he was doing before.

Work cited

Burton, Katherine. Ruhle, Stephanie & Mider, Zachary. Bloomberg Businessweek.Billionaire Paulson May Move to Puerto Rico for Tax Break. (2013).Retrieved April 8, 2013 from http://www.businessweek.com/articles/2013-03-14/billionaire-paulson-may-move-to-puerto-rico-for-tax-breakRoche La Julia. Hedge Fund Billionaire John Paulson Not Defecting To Puerto Rico To Dodge Taxes. (2013).Retrieved April 8, 2013 from http://www.businessinsider.com/john-paulson-not-moving-to-puerto-rico-2013-3

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No representation of allocentric space has been found in the brain

No representation of allocentric space has been found in the brain

No representation of allocentric space has been found in the brain

Critically evaluate this statement.

The question of how animals and humans navigate is a fundamental research problem upon which there has been much experimentation and debate, and so it is necessary to refine the title to a specific point. As Tolman (1948) established that rats can solve spatial problems too complex for a purely stimulus-response system to solve, and that therefore some kind of neural map is necessary for navigation, this essay will basically address the question of whether the brain forms an allocentric (which is independent of the organism) or an egocentric (based on the organism’s own perception of the surroundings) view of the environment. For the purpose of simplicity this essay will concern itself with only the brain of a rat.

This essay will thus discuss the evolution of relevant behaviourist and neurophysiological theories, the most important being O’Keefe (1991); Muller, Kubie, Bostock, Taube and Quirk (1991); and Rolls (1991).

The behaviourist theories proposed that a reward or aversive object/event will motivate a rat to move towards or away from the location along a reward gradient, and this has been shown to be the case with rats in a maze situation (O’Keefe, 1983). Indeed, this situation does not require the rat to have a concept of absolute space; it may depend on associations between cues and responses which are provided by the maze structure itself. However, O’Keefe & Nadel (1978) identified spatial behaviours which they argued would require the existence of an allocentric map: detection of changes within the environment; navigation to the goal from a different starting location; and perhaps most importantly detour behaviour, which required the adaptation of novel behaviour to find the goal after the usual route had been blocked in some way.

Further support was added by Collett et al (1986). They trained gerbils to find seeds located at a central point between two landmarks, and upon moving these landmarks further apart rather than searching at a point equidistant, which would suggest an egocentric view of the environment, they searched at the same distance from each of the landmarks. This would suggest that they had formed a map or reference framework of the environment that was based on cues from this environment. Wilkie & Palfrey (1987) and Zipser (1986) argued that this framework could still be animal-centred, in that it forms an egocentric matrix of the environment and then transforms this as it moves around in the environment, or as the environment itself changes.

Morris (1981) was able to show in that a hippocampal lesion affects a rat’s ability to learn to return to a safe position in a milk maze, it became clear that a neurophysiological approach to the question may be useful.

O’Keefe (1991) suggested that “place cells” in the pyramidal CA1 and CA3 regions, which fire when the rat is in a particular location in the environment, defies the behaviourist argument: the place coding fires at a constant rate (albeit in different locations in CA1 and CA3 regions) independent of the location of the goal, and this firing rate does not change when the goal itself is moved, which suggests that the mapping is not motivational. However, this place coding continues after landmark cues are removed, which suggests that they could be tuned to locations due to the rat’s egocentric concept of the environment, rather than an allocentric map influenced by the environment. Indeed Taube et al (1990) suggested that these place cells were in fact perceptual cells in the post-subiculum tuned to a “local view”: what the rat sees at a particular place where it must make a critical decision about which way to turn to reach a location, because the cell firing was also dependent on the direction the rat was looking in the environment. One limitation of this view is that this directional specificity was much less common in an open unstructured environment.

Muller et al (1991) challenged both the allocentric map and local view models. They found that as well as “place cells” there was apparent in the brain “region cells” which were active in broad and importantly functional regions of the environment. Not only did this suggest that the hippocampal map was distorted in some way, but it also challenges the local view theory in that there would be lots of different “views” from just one region’s firing. This seems to suggest, however, that the hippocampal map does indeed represent a more functional property related to behaviour; for example, a region defined as a wall would coincide with a reason to stop searching in that location for food.

Rolls (1991) examined the functional anatomy of the CA3 cells and suggests an auto-associative matrix memory system. The CA3 system is highly interconnected and there is a relatively high probability (about 3.9%) that a neurone will connect with a neighbouring cell, and the cells respond to a stimulus only from a certain location and then fire others which could then provide an overall map of the environment. This is useful as the a snapshot of a scene will allow retrieval all the relevant locations of objects within the environment, allowing completion in recall. This anatomy also allows Hebbian learning, that is, strongly activated cells will form stronger links with other cells. This means that as the rat learns about its environment different synaptic weights can be attached to different objects or locations.

Rolls (1991) used further anatomical details to suggest how this system could provide an allocentric or egocentric concept of the environment. He hypothesised that as place-coded neurones on the upper layers of the antorhinal cortex are the route of entry of information into the system the CA3 pyramidal cells could make possible calculations of vectors to the location of objects, this is a neurophysiological basis for how animals might represent and navigate in their egocentric environment using the hippocampal region of the brain. Rolls (1991) also suggested that as the subiculum region also receives inputs from brain regions associated with incentives e.g. the amygdala and anterior thalamus, this is a good candidate for the structure responsible for performing goal and aversive movement vectors. This gives credence to behavioural factors involved in map formation, and implies that as this behavioural is goal-oriented, it may also be egocentric.

Muller et al (1991) go on to conclude that there is a map in the hippocampus, but it is topological rather than metric. They suggest that there is at first a only a behavioural basis for the formation of a neural map, and then a spatial map arises only because rats learn that they do certain things in certain places; thus there are then both behavioural and spatial causes for map formation, and their use is dependent on the circumstance. This suggests that the map is at first egocentric, and then as rats have more time to experience their environment an allocentric map is formed with motivational aspects included.

Muller et al (1991) also suggest that the theory of place cells as an egocentric map is unreliable because of the issue of locomotion. They suggested that the firing of place cells would be in some way connected to the movement of the rat, yet the same place cells fire when the rat is moved around the environment by hand or in a special cylinder carrier. Furthermore, place cells will fire in the specific field, independently of how the rat reached this location. To me this strongly suggests that the place cells are triggered by environmental cues rather than by the movement vectors of the rat, because the rat can no longer be using an egocentric map to calculate movement vectors in order to find its way around, and it must be using an allocentric representation of the environment. However, it is still possible that, as Muller et al (1991) suggest, this allocentric representation was formed after goal-oriented behaviour had formed an egocentric map.

In answer to the main question it seems possible to conclude that there is some strong evidence for an allocentric representation of the environment in rats. Although the neurophysiological examination given by Rolls (1991) strongly suggests that there is a strong motivational aspect to the formation of a spatial map, which suggests that it is egocentric map, there can be a number of different interpretations. Muller et al’s (1991) conclusion that there is a behavioural and allocentric spatial map operating seems to be reasonable. Intuitively it makes sense that an organism’s first representation of its environment would be based on its motivations since they are most important to its survival, but it also seems reasonable that once this map has been formed a general spatial map would be formed, especially as the location of goals in the environment is likely to change, and so the organism must be adaptable to allow it to use its allocentric map to find the new location of the goal. This is backed by O’Keefe & Nadel’s (1978) finding of detour behaviour, and also by O’Keefe (1991) in that place cell firing is not related to distance to goal. It would be interesting to see if a study could show that there is indeed a change between a motivational map and a general spatial map, as a rat becomes more accustomed to its environment.

References

Collett, T.S., Cartwright, B.A. & Smith, B.A. (1986)Landmark learning and visuo-spatial memories in gerbils. Journal of Comparative Physiology, 158, 835-51.

Morris, R.C. (1981) Spatial localization does not depend on the presence of local cues. Learning and motivation, 12, 239-60.

Muller, R.U., Kubie, J.L., Bostock, E.M., Taube, J.S. and Quirk, G.J. (1991) Spatial firing correlates of neurones in the hippocampus of freely moving rats. In J.Paillard (Ed) Brain and Space: OUP.

O’Keefe, J. (1983) Spatial memory within and without the hippocampal system. In Neurobiology of the hippocampus (ed. W.Seifert), pp. 375-403. Academic Press, London.

O’Keefe, J. (1991) The hippocampus cognitive map and navigational strategies. In J.Paillard (Ed) Brain and Space: OUP.

O’Keefe, J. & Nadel, L. (1978) The hippocampus as a cognitive map. Clarendon, Oxford.

Rolls, E.T. (1991) Functions of the primate hippocampus in spatial processing and memories. In J.Paillard (Ed) Brain and Space: OUP.

Taube, J.S., Muller, R.U., Ranck, J.N.Jr. (1990) Head-direction cells recorded from the post-subiculum in freely moving rats. I. Description and quantitative analysis. Journal of Neuroscience, 10, 420-35.

Tolman, E.C. (1948) Cognitive maps in rats and men. Psychology Review, 40, 60-70.

Wilkie, D.M. & Palfrey, R. (1987) A computer simulation model of rats’ place navigation in the Morris water mave. Behavioural Research Methods, Instruments and Computers, 19, 400-3.

Zipser, D. (1986) Biologically plausibly models of place recognition and goal location. Parallel distributed processing. Exploration in the microstructure of cognition. Vol. 2. Psychological and biological models (ed. J.L.McClelland, D.E.Rumelhart, and the PDP Research Group), pp.432-70. MIT Press, Cambridge, Mass.

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Debate between Teleological Arguments and Theory of Evolution

Debate between Teleological Arguments and Theory of Evolution

Main Lines of Debate between Teleological Arguments and Theory of Evolution

Debate has been rife for several centuries regarding logical explanation for the existence of the universe, particularly with regard to existence of life. Teleological arguments and evolution theory have widely been studied to offer some of the most acceptable reasoning perspectives for the debate. Explanation has been sought to validate the position held by proponents of the debate, which fall on the opposing side. The main lines of debate can be discussed as follows.

Teleology Lines

First, temporal orderliness of the universe acts as one of the main support points of the teleological proponents of the debate (Swinburne, 154). According to the author, the universe happens to follow some form of order which cannot be assumed to occur just by chance. Guided by positions held by great theologians such as Thomas of Aquinas, the author is of the opinion that such happenings can only be explained by existence of “someone with awareness…we call God,” (Swinburne, 155). It is clear that the apparent orderliness that exists in the universe must be under the control of some being, a comparison of which mush be a deity. This position finds easy acceptance into the debate, perhaps better than any other.

Another argument is the probability of existence of the high orderliness in both universes, Godly and Godless which shows that there is a high probability that the laws of nature that the universe follows must be set out by some being (160). The author states that objects in nature follow some predictable behavior only in a Godly universe as Humean theory explains. We can draw an inference from this theory that the universe is under directions from a deity.

In addition, spatial order, a fact of the universe can be argued only in a perspective that recognizes regularity therein. Co-presence as well as succession can not be explained in exclusion of God (167). These regularity perspectives that denote a well ordered universe complement a Godly universe argument with all respect. Alternatively, beauty of the universe that complements its orderliness is more reasonable when an explanation is sought from Godly presence (190). Using the spectacular regularity depicted by the universe, it is logical to attach a deity to the best explanation sought on its beauty.

Consciousness and mentality analysis gives an array of arguments that strongly support the position that were it not for the existence of God in the Universe, certain innate features of the universe would not exist (198). It is certainly possible to lose meaning of morality in human beings without telos, which explains the position held by God in the universe (Fahlbusch, 328).

Evolution Lines

Linnaean Taxonomy appears to solve the problem of the structure of life forms into a family tree. It is easily possible to trace the origin of life forms due to the universe’s incredible consistency in organizing life into the family tree. It is possible to practically demonstrate the origin of life forms from a common ancestor using the family tree (Wong, 1)

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Debate Participation Importance of Applied Psychology in the Society today

Debate Participation Importance of Applied Psychology in the Society today

Debate Participation: Importance of Applied Psychology in the Society today

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Institution

Importance of Applied Psychology in the Society today

Psychology can be defined as an applied and academic field that studies the human mind and behavior. There are numerous research studies done on psychology. The studies aim at understanding and explaining how people think, act and how they feel, both mentally and physically. Applied psychology is the use of the several psychological principles to try deal with issues, especially the negative ones that affect the daily lives of people.

Applied psychology is very important in the growth of the society today because it is of great essence that people know their mental fitness and have it monitored if their enormous performance at work is to be seen (Davey, 2011). This means that doctors have a big role in making sure they understand the behavior of people and check on their medical backgrounds before they embark on critical assignments. The values and theories of psychology help a great deal in overcoming many problems, in the cases of people with huge capabilities, but are useless or unproductive because of their difficulties back at home. This would include drilling and regular counseling which helps the victims have a different and better perspective of their lives.

Many problems at the work place and in families are not medical and so they only need some psychotherapy, which can be done by personal doctors, those that have treated someone or members of the family for a long time and have information about its history. It has come to be one of the only treatments that would not require medication, but psychoanalysis, just opening up to someone and letting them give their views and propositions of how to handle stress and come out of it. Psychiatric therapy is not only important for the working class, but also necessary for the young generations. There is a rise in cases of children who grew up in dysfunctional families and have grown to show traits of distressful youth lives. They also need a lot of counseling to enable them to become what they dream to be.

Therefore, applied psychology is of key importance as not all problems that affect people in the society today are medical. There is a need for more doctors and specialists trained to handle cases related to stress. This is because the number of people who require special and urgent attention is also rising. There should also be a number of fields which would deal with different types of such cases (Burtt, 2011).

Reference

Davey, G. 2011. Applied Psychology. John Wiley & Sons.

Burtt, H. E. 2011. Applied psychology. Prentice-Hall.

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debt crisis tuesday

debt crisis tuesday

Debt Crisis

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The impact of the Third World Debt Crisis and Globalization on Developing and Developed Nations

There are extreme cases of the debt crisis in the modern world, and it needs to be understood well. Often the debt crisis refers to public and private external debt that is experienced by developing countries. The latter has been taking place since the 1970’s and exists up to date. The global economy is being affected tremendously by the debt crisis. Furthermore, the government of the United States is suffering immensely as it seeks to correct the problem of budget deficits. Also, its loans and savings institutions, as well as its balance trade deficits are being affected by the debt crisis.

On the other hand, Globalization is changing the relations that exist between the developing and developed nations. The world is on a daily basis having an integrated economy that is global. It means that decisions regarding social relations and production consumption have transnational dimensions. It cannot be denied that the influence of globalization is felt everywhere, and it is quite strong. Globalization has ensured that forces such as consumption patterns, information, and technologies, real and financial capital are present.

This paper seeks to give a critical analysis concerning the relationship between developing and developed nations. Moreover, it seeks to find out how their relationship has been affected by Globalization and the Third World Debt Crisis.

Critical analysis of the Global Debt Crisis and its impact on Developing and Developed nations

It is claimed that the developing world will never repay its debts fully, and this is due to the fact that they cannot afford it. Loans were initially given to the developing world as a form of stimulus to get rid of their poverty. Some economists claimed that in order to ensure that the citizen’s plight is addressed; they have to give them loans. People living in the developed world often cannot relate to poverty. Those living in developing nations do not have access to proper housing, nutrition, health care and even education.

The first world seeks to find ways of making sure that the debt crisis is resolved before it escalates any further. In turn, it has come up with three methods, and they include; reduction, adjustments of repayments and repudiation. Debt repudiation has been quite common in South American countries such as Peru and Brazil. Unfortunately, this measure has only been temporary. Jeffery Sachs an economist claims that repudiation will never be a solution to the debt crisis. In fact, it is known to affect the relations that exist between the developing nations. Some of polices established by the International Monetary Fund are discriminative. For example, the IMF believes that by controlling the currency values of African countries it can maintain the debt crisis. In Tanzania, the IMF has sort to solve the problems that are related to balance of payments. The latter attempt by the IMF failed, and this made the world know that the debt crisis cannot be handled by the organization.

Countries such as Brazil and Mexico have massive debts, and this is due to the international financial system, which they focus upon. Another region known to be affected by the debt world crisis is the region of Sub-Saharan Africa. Development in the third world is being hindered as a result of the debt crisis. It has made the debtors have a life quality that is not superior. For example, in most African countries such as Somalia and Sudan there is constant fighting. The decline in life quality is due to the political violence that is taking place in those regions. The Somali government has many debts that it cannot be able to pay and in turn the country is in chaos. The Al-Shabaab that is against the Somali government has resorted to find ways of taking over the country. They have resorted to engage in terrorist activities and some analysts’ claim this is due to the debt crisis that has affected Somalia.

Most of Africa is taking the time to develop as the debt crisis has made them become heavily indebted. The international economic system is the key reason why poverty levels are extremely high. There are some African nations, which are extremely rich, while others are the complete opposite. Egypt is a rich African country that cannot be compared to others such as Senegal and Mali. The first world seems to favor Egypt and often finds ways of removing their debt burden. In turn, Egypt has an opportunity to progress while other regions are ignored by the first world. African nations have resorted to protecting their own territories and not become involved with each other. In turn, the debt crisis is blamed for affecting the relations between members of the third world.

It is argued that the relationship that exists between Developing and Developed nations has been affected by Globalization. Recently, there has been an increase in interconnection, which is economic in nature. In turn, it has led to changes that are political, and it seems to affect many countries and especially the poor ones. Developing countries are extremely dependent on the economies of developed countries. For example, the United States is viewed as a power that can fully support most developing countries. America is known for its high levels of technology levels as well as capital expertise. Multinationals are a perfect example of how globalization has affected the relationship between the two diverse nations. Brands such as Sony, Nike and Coca Cola are examples of products that affect globalization. Also, as a result of globalization, capitalism has emerged and it has three features that are unique. The most distinct features are the ones concerning delocalization and its relation to globalization.

People are becoming familiar with one another through mediums such as the internet, telephones, media, advertising as well as economic exchanges. This means that, at the same time, material consumption is enhanced by the developing and developed nations. For example, the American brand known as McDonalds is widely found. In fact, the chain has outlets in all almost all the continents. Local communities are also affected by the activities that are conducted by multinationals. The latter often search for developing countries whereby, they can obtain cheap resources and labor, in order to carry out their operations. In turn, the local communities benefit as there is a flow of wealth and this enhances the globalization process. Also, the scenario can bring about cases of unemployment that is large scale. The result is that there will be wide gaps of inequality between the local communities and the multinationals For example, employees working in a multinational in a country such as China, for the company known as Nike, often complain about poor pay. In a 1998 in China, it was found out that manufacturers such as Nike and Ralph Lauren underpaid Chinese workers. They were being paid as little as 13cents every hour, while their counterparts in other companies in the same region were being paid 87 cents every hour. Moreover, workers doing the same job in the United States were being paid at least 10 dollars every hour. In turn, the relation between the United States and China was strained as a result of such cases.

Conclusion

In conclusion, the first world does not seem to try and solve the problem of the debt crisis in the third world. It is almost a daily occurrence to hear of loans being given to third world countries. This is despite the fact that they are heavily indebted and cannot find a way to pay back. It is vital that suitable ways of helping the developing third world are found, other than give them loans that cannot be repaid easily. Globalization has totally widened the gap between developing and developed nations. At the same time, globalization has been enhanced by beliefs and ideas that have been spread through western imperialism. This is an error that is costly as well as serious that multinationals in developing nations should be aware of. Since they have the power of improving a developing countries economy, they should control the macroeconomic forces that exist. In turn, the local community in the developing country will be satisfied by the changes that are taking place.

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Debunking the 9-11 conspiracy theory

Debunking the 9-11 conspiracy theory

Debunking the 9/11 conspiracy theory 

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Debunking the 9/11 conspiracy theory 

Since the 9/11 attack and the subsequent investigations, several theorists have come up with divergent views and analysis aimed at putting together pieces of information on what could have triggered and guided the fatal attack. The theorists however differ on their analogies and logical conclusion as to who was responsible for the attack. Specifically, there have been emergence of a controversial argument that attempts to allude existence of collusion between the Americans and the foreign terrorist in planning and execution of the 9/11. largely refereed to as the conspiracy theory, the proponents argue that the Americans especially the government had hidden agenda that so it conspire with the attackers ostensibly to gain international support for fight against perceived enemies, to justify the foreign invasions such as the case of Iraq and Afghanistan and to gain access to the Arab oil. Some theorists fully credit the government with the attack (Grossman, 1). However, the explanation given by the theorists do not add up or have credible back up to support the claims.

The proponents of the conspiracy theory argue that the attack was not carried out by passenger plane but by military jets and missiles. This argument has no tangible evidence to support it based on two major facts. One, the planes that were officially reported to have been used by the hijackers to launch the attack has never been traced. put differently, the planes have never reached their destinations as scheduled. This support the official report that the hijacked passenger planes were used in the operation. Two, the recovered cockpits at the scene clearly endorse the official report as they belonged to the planes in question. The forensic investigations have also proven the fact that cockpit details march those of the commercial airlines.

The lack of total military intervention sanctioned by the government has been described as a weighty evidence of conspiracy and insider job (Mole, 1). Facts from the military show that there were 14 military planes to offer sky protection in the US on that date. At the same time, the NORAD did not receive signals indicating any mishap to warrant a military response. Additionally, when the military got information about the missing planes, it was so late that the damage had been done. For example, FAA contacted NEADS at 9.41 am about the situation, the same time when the plane hit the WTC. Demystification of the conspiracy theory also emanates from the fact that the NEADS failure to act as claimed by the conspiracy theorists is that the military intervention launched was aimed at ensuring that the US was safe from external and not internal attack. This military mistake gave the hijackers a leeway to force the planes into the targeted buildings. It is therefore subjective to argue that the attack was engineer by the government which later failed to alert the responsible military agents.

The nature and magnitude of the WTC destruction from 78th to 110th floors and the destruction of the elevators as well as the buildings basement has been described as far much a bigger damage that the commercial planes could have caused. The argument is that the explosion and nature of the damage hint at a conspiracy. As such, the destruction could have been caused deliberately by “substances or devices,” that might have been in the building before the aircraft impact (Mackey, 10). For example, there could have been explosives planted early at the building. The FEMA’s report rule out existence of conclusion bombs in the building. However, the widespread destruction might have been caused by explosions occasioned by the fuel. As a result, the fire triggered electric fire that badly damaged the building. At the same time, the fuel jet fire though could not cause steel melt; the impact of the explosion was hard enough to interfere with the building’s structural strength thus resulting into the collapse. At the same time, the buying had other combustible materials that could have intensified the heat capacity beyond the jet fuel heating point.

Conclusively, the conspiracy theorists base their claims on sloppy researches that have no scientific or provable evidences (Debunking911, 16). It is therefore evident that their arguments have been based on misinformed sources and illegal reasoning that do not add up.

Works Cited

Debunking911 Debunking 9/11 Conspiracy Theories. Journal of Debunking 9/11

Conspiracy Theories, Volume 1, Issue 1, (2006).

Grossman, L. Why the 9/11 Conspiracy Theories Won’t Go Away. (2006). Accessed June

28, 2010: http://www.time.com/time/magazine/article/0,9171,1531304,00.html

Mackey, R. Evidence for Controlled Deception: A Long List of Observations – Part I

On Debunking 9/11 Debunking. (2007). Accessed June

28, 2010:http://www.jod911.com/drg_nist_review_1_0.pdf

Mole, T. 9/11 Conspiracy Theories; The 9/11 Taith Movement in Perspective SKEPTI,

Vol. 12, No. 4(2006).

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Deception In The Investigative Process

Deception In The Investigative Process

Deception In The Investigative Process

Contents

TOC o “1-3” h z u HYPERLINK l “_Toc377058423” Ethics and Lying to Get the Truth PAGEREF _Toc377058423 h 1

HYPERLINK l “_Toc377058424” Do Ends Justify the Means? PAGEREF _Toc377058424 h 2

HYPERLINK l “_Toc377058425” Conflict between Code of Ethics and Law Enforcement Practices PAGEREF _Toc377058425 h 3

HYPERLINK l “_Toc377058426” Physical Behavior and Non-Verbal Communication in Detecting Deception PAGEREF _Toc377058426 h 5

HYPERLINK l “_Toc377058427” Conclusion PAGEREF _Toc377058427 h 5

HYPERLINK l “_Toc377058428” References PAGEREF _Toc377058428 h 6

Ethics and Lying to Get the TruthDeception refers to an act of deliberately misleading a person in order to achieve a premeditated intention. In criminal justice procedures, deception is an investigative tool that is used prevalently by investigating officers. Deception is mainly used in the detecting process where alleged criminals are deliberately misled to give up information that is pertinent to the crime before the case is presented in court. There are other forms of psychological persuasion for information which include seduction, manipulation, and all other means of non-violent coercion through the use of what is generally referred to as “white lies.” An ethical question that arises from this sanctioned use deception is whether it is morally right to lie in the search for truth.

The question can be approached from two perspectives. One is from an ontological point of view which leans on a realistic justification for the use of deception on the basis of the good that will come out of it for the whole community. The second approach is from the more idealistic deontological perspective which is based on ideas by philosophers like Immanuel Kant who held that, “moral conduct means acting within a constraining framework of principles that are independent of consequential considerations” (Herman, 2006, p. 344). From this line of thinking it emerges that if lying is considered to be morally unacceptable, then it should not be used for any purpose regardless of what good it might bring.

From an ontological perspective, truth is an end that holds priority over the means used to achieve it. The close relationship between ontology and critical realism supports the premise that ultimate truth exists on such levels like scientific investigation but not morality. In this regard any pursuit of truth is justified regardless of its moral implication. Therefore if the objective is to arrive at an ultimate truth, then the use of lies is justified. A good example is the government’s duty to national security by eliminating existing and potential threats through investigative intelligence gathering. An ontological view maintains that covert intelligence, which is based deception techniques, is not only justified but necessary in ensuring national security (Pfaff, 2006, p. 4). This implies that in pursuit of legitimate information, nothing is off-limits, including matters to do with moral justification.

An opposing view is held by deontologists who are considered to be moral absolutists. From a deontologist perspective, the act of lying is wrong no matter how positive its consequences might be. According to Immanuel Kant, goodwill is the only absolutely good thing therefore the moral value of an action is judged by the will of whoever is doing it. If the action is performed under a negative maxim then it is wrong. Starting out by stating that “I shall lie to get the truth” is morally wrong regardless of whether the truth being sought is arrived at. Lying is accorded similar treatment with absolute maxims like “thou shalt not kill.” Kantian philosophy is based on “categorical imperatives” that are absolute since they value human dignity and treat people as ends in themselves. It is an idealism rooted on the universal Golden Rule that requires everyone to treat others as he or she would expect to be treated.

Do Ends Justify the Means?The argument on ethical implications of lying to get the truth can be taken a step further by asking whether the end really justify the means. The deontologists hold that any moral action must consider itself not only as a principle but as an end too. A good society should seek justice for all, therefore employing unjust means works against the end it seeks to serve. It is unethical to lie in pursuit of a good end like seeking for information. It would be like trying to construct a good house using wrong or inferior materials.

Deontologist emphasize on giving a closer examination of the perceived good end in before attempting to justify the means. Of great concern should be how the bad means affect the end. The use of lies to get truth does not produce a genuine response but one that is subject to the lie. Therefore a morally wrong means ultimately affects the end negatively. A case in point is in power politics games or in war where success determines the justification of the means used to achieve it. This is an ontological approach that pays very little or no concern at all to morality. Means used in this perspective are measured by their expediency which is a position that contrasts deontological ethics where expediency and moral justification are two different aspects.

It is quite obvious that anyone who violates his or her moral code in pursuit of a goal, no matter how good that goal is, takes a downward path of moral degradation. This is because after the first time, adopting unethical techniques like lying to find a truth becomes a habit in which the stakes are raised to a situation where any rule can be bent or broken. The problem lies in where this chain of logic stops. Invading a foreign country can not be justified on national security grounds or on the pretext that the invasion is the best thing for that country’s citizens, however true or false the claims may be.

Conflict between Code of Ethics and Law Enforcement PracticesAs professionals, law enforcement officers are expected to provide a service that benefits the society. In this regard, ethics and ethical standards pertaining to “doing the right thing at the right time in the right way and for the right reason” are important aspects in the practice (Hansen, 1973, p. 46). It is for this reason that the International Association of Chiefs of Police (IACP) came up with a code of ethics in 1957, and later updated in October 1991, to govern the conduct of law enforcement officers. These officers are expected to follow the values and norms of the society and exemplify respect for the law and ethical behavior. Therefore law enforcement officers must lead the society in upholding social values and norms by living by the code. Law enforcement code of ethics works together with the police code of ethics by providing guidelines on how to act with impartiality, discretion, integrity and professional image at all times. Thus law enforcement agencies do not operate in a moral vacuum. However, at a practical level application of ethics in this field is not a black and white issue.

The conflict between ethics and law enforcement practices occurs when rules limit police conduct during investigation making the officers resort unethical practices. The irony is in the fact that when use of coercion is restricted, there is an increase in the use of deception. Deception occurs in the form Miranda admonitions, misrepresentation of the offence and its seriousness, false promises, and fabricated evidence. From an ontological perspective, deception is an effective tool because it can reach to the conscience of the suspect while he or she has a sense of right and wrong. It makes the work of the interrogator easier in uncovering the motive behind the crime. The conflict is further emphasized by the courts which, in as much as they do not openly support deception, they do not prohibit it either.

From a deontological perspective, deception is retrogressive because when it is used on an uncooperative suspect who is unwilling to divulge information, the investigator might be inclined to delve deeper and deeper into a tangle of lies until he or she crosses the line between legality and illegality. This is one of the reasons why defense attorneys often have to establish whether the investigator lied in the course of the investigation. The deontological imperative that lying is wrong pits investigation and interrogation practices in conflict with ethics for law enforcement officers. Maintaining ethical standards therefore acts as a limitation to efficiency in investigations.

Physical Behavior and Non-Verbal Communication in Detecting DeceptionDeception can be detected in non-verbal communication and physical behavior. The art of detecting non-verbal deception is often used by police and security officers in interrogating suspects. In detecting deception through body language on evaluates changes in physical expression which will be limited and stiff with very little hand motions when a person is lying. Avoiding eye contact has often been the easiest way to tell when a person is lying. Other body motions that indicate lying include touching face, throat, and mouth with the hands and scratching motions on the nose, behind the ear, and across the head. When the timing and duration of gestures and emotions is longer than normal, the person is lying.

ConclusionDeception and the use of lies have no place in law enforcement. It is undeniable that ethical concerns are integral in law enforcement practices especially in a liberal democracy. For interrogative and other investigative practices to be justified, they must subscribe to ethical standards that not only represent the goals of their profession but also adhere to the moral values of the community. The words of former CIA director Stansfield Turner put it more accurately when he states, “There is one overall test of the ethics of human intelligence activities. That is whether those approving them feel they could defend their actions before the public if the actions became public” (Quinlan, 2007, p. 2).

ReferencesHansen, D. (1973). Police ethics. Chicago, IL: Charles C. Thomas.

Herman, Michael. (2006). Intelligence Power in Peace and War. Cambridge: CambridgeUniversity Press.

Pfaff, T. (2006). Bungee jumping off the moral highground: Ethics of espionage in the modernage. In Ethics of Spying: A Reader for the Intelligence Professional. Jan Goldman (ed.).Maryland: The Scarecrow Press, Inc. 3-56.

Quinlan, M. (2007). Just intelligence: prolegomena to an ethical theory. Intelligence andNational Security. 22(1), 2-11.

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Decision Support Systems

Decision Support Systems

1. Identify the problem the DSS will help decision makers solve

Implementation of the Decision Support Systems in running of organizational management needs will target specific problems in order to increase efficiency and eliminate poor performance. The most important elements of the DSS that every management setting aims to achieve are mainly driven by the need to remain vigilant on quality service delivery as well as cost benefit analysis results. While profitability may not be a reason good enough to facilitate appropriate performance reviews, certain industries must represent quality service delivery in their effective decision making processes. One of such industries is the healthcare industry whose sensitive interaction with human life dictates focus on quality ahead of profitability (Malhotra, 1989). It is imperative therefore that the effective DSS in such industries include some of the most important healthcare issues on the system blueprint to assist in tackling both quality and profitability in a single agenda. Patients’ needs are important in the system as human resource needs encompassed under the DSS. Some of the problems that will be targeted in the designed DSS will include various departmental issues that need management input in different respects such as;

Management of patients’ health records in terms of entry and retrieval

Provide an efficient patient progress tracking procedures

Consolidation of various facilities under the institution’s capacity for enhancement and elimination of idle capacity

Following up specific patient care through real time caregiver’s activities tracking systems

Collection of patients’ satisfaction scores for application in performance enhancement through efficient customer experience backed service delivery reviews

Assist in control and management of staffing needs through staff monitoring data

Drugs and equipment procurement management systems

Facility administration and related allocation and delegation of responsibilities to track performance

Human resource monitoring, performance appraisal and motivation management

2. Build: Describe the major steps in developing the DSS and define the various types of testing the DSS will need before implementing the prototype

Development

Initial stages of the building process of a customized DSS will involve the internalization of the organization needs and outline in the basic structure. This will include determining the needs of the organizational decision making process and integrate them in the structural component of the DSS. The organizational and management structural designs will be dissected for integration in the DSS structural design to make it compatible with the computer based system. Various management areas that require focus and input through the decision making highlight will be pointed out and roles attached for enhancement through DSS (Dahm and Wadensten, 2008). Functional units of the entire organization will also be pointed out for easier monitoring via the computer system.

Using this functional and structural integration, it will be easy for the DSS to pick up various decisions making needs and prompt the management to act on a number of options that the system has. This will be the case for patient care processes, employees monitoring and welfare needs as well as the facility control and management decision making inputs. Connecting all the decision making needs to a central detection system will facilitate the building phase to be completed.

Testing

Testing the workability of the DSS will include various phases of implementation to avoid a system failure or clash disabling the operations of the entire organization. The three basic areas of input will be implemented and tested differently while the current management systems are still in place. Once the desired results are received, the new system will be full implemented and the ineffective system laid aside. Performance efficiency in coverage of the important input areas will be compared between the current system and the new DSS application.

Buy: Define the type of DSS you will buy and describe the major steps and criteria you will use in selecting the DSS vendor and software

Type

The Horizon Expert system will be implemented as it befits the healthcare system as observed by McKesson (2007). Horizon Expert DSS application is a management program that enables the management of the healthcare facility needs with a side range of specificity and optimization opportunities. Some of the most important data sources that enable the implementation of Horizon Expert cover patient care needs, employee management as well as various facility monitoring and control needs making it an important tool in healthcare.

Selection Criteria

When determining the DSS vendor and type for buying, it was important to consider the cost element and the quality of the product with an aim of determining the best package in the market. Besides the quality and cost, the implementation aspects, ease of operation as well as compatibility with the organizational setting became very instrumental in the purchasing process. Based on the internal needs that need to be included in the decision making framework, it was inevitable to include the most important targets list that the effective DSS must cover. It came out clear that the Horizon Expert is better than most other healthcare DSS packages that the market had.

3. Describe the user and management involvement in the implementation approach, goal development and implementation and evaluation planning and how you will obtain management and user “buy-in?”

Implementation Approach

In order for the DSS package to meet the intended needs, both the users’ and the managements’ attention in the implementation program is irreplaceable. Cooperation and assistance from all sections of the organization are needed in the implementation of a new system that brings in changes to old ways of carrying out business. In respect to a healthcare needs that the management ought to streamline in a comprehensive management plan, the need to facilitate the appropriate understanding must be well served (Dahm and Wadensten, 2008). Some training may be needed to ensure that there is cooperation among the various stakeholders in the DSS implementation program.

Goal Development and Implementation

It is imperative that initial implementation targets are outlined in advance to enhance the realization of the desired changes. Various management levels and staff must set out their targets to be met through the DSS, to act as implementation yardsticks. Goal development regarding the implementation will need to be focused on the new management capacity created by the DSS application likely to factor in enhancements.

Evaluation

The evaluation of the DSS performance will be evaluated on the performance enhancement criteria that will focus on the changes brought in upon implementation. Since the DSS has clearly defined areas of management where input is needed in terms of enhancement, it is easy to monitor changes.

Obtaining Buy-In

Where some aspects of outsourcing are needed for the implementation of the DSS, it will be identified on the technical implementation needs against the current internal capacity. In case there are aspects of implementation that demand a buy-in arrangement, the necessary implementation outsourcing will be procured from the program supplier.

References

Dahm, M. & Wadensten, B. (2008) “Nurses’ Experiences of and Opinions about Using Standardized Care Plans in Electronic Health Records – A Questionnaire Study,” Journal of Clinical Nursing, 17(16):2137-2145. <Doi:10.1111/j.1365-2702.2008.02377.x>

Malhotra, N. K. (1989) “Decision Support Systems for Healthcare Marketing Managers,” Journal of Healthcare Marketing, 9(2):20-28

McKesson, (2007) Making Care Planning Relevant. Retrieved from: HYPERLINK “http://www.mckesson.com/static_files/McKesson.com/MPT/Documents/Making%20Care%20Planning%20Relevant_HorizonExpertPlan_WHT259.pdf” http://www.mckesson.com/static_files/McKesson.com/MPT/Documents/Making%20Care%20Planning%20Relevant_HorizonExpertPlan_WHT259.pdf.

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Deconstruct an image and tell more about what the artist failed to bring out clearly

Deconstruct an image and tell more about what the artist failed to bring out clearly

Deconstruct an image and tell more about what the artist failed to bring out clearly

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Deconstruction refers to a technique which brings into a discussion what the same discussion expels in its formation. Deconstruction generally helps us to have an understanding of a text through identifying its dependency on what is excluded. This means that deconstruction is used to provide more information about information that is not clear in a text. This paper seeks to deconstruct an image and tell more about what the artist failed to bring out clearly. In this case, the paper will focus on Newcastle and Gateshead. The main aim is to deconstruct the scene of the Newcastle and Gateshead which was viewed from the rope works on the Newcastle bank of the River Tyne. This is a drawing which was taken from a distance and the artist drew what was seen from that particular point. In this case, there are some details which were omitted because the clarity was not attained.

As the drawing is constructed in relation to a long distance, it is clear that some features can be seen but it is not clear what they represent. The picture is drawn being viewed from rope works. This means that many features are expected because within this region there are various activities that take place. This is not the case because the artist does not show everything. There is information which is omitted which makes the viewer not to have a clear understanding of what the artist is trying to put across. There is an old stone Tyne Bridge which is seen at a distance. It is not clearly drawn as it is seen from afar. This gives a clear impression that the artist would have done something more to make certain that the bridge is seen as one (Norris, 2002, 112). To effectively do this, naming can be done on the drawing to show all features by names. Since the bridge is seen from afar, denoting it by name will help the viewer know exactly what the feature is. This ought to be done because viewers are different sighted. Labeling the drawing would be advisable because every viewer would then be able to notice it.

The artist also shows a church which is on the left at the top part of the hill. This church is St. Mary’s Gateshead. There is smoke seen billowing from the Windmills Hill. The artist in this case has not clearly shown what it is that is producing smoke. This becomes quite hard for the viewer to understand the drawing (Royle, 2000, 213). It is hard to understand what the viewer is trying to put across. There are a few buildings seen at the scene. It is not therefore clear if the smoke is really originating from the buildings or elsewhere. The artist ought to have clearly separated the buildings from the smoke or shown the origin of the smoke for clarity. This is meant to make the viewer have a clear view to avoid confusion. A paddle steamer is also in the centre of the river. This is quite hard as a viewer who does not have knowledge of the place is not able to understand the feature (Parker, 1969, 12). They are a bit mixed up making it hard to understand what the artist is trying to put across. In this case, the artist should have used order to avoid confusion. Arranging them in an understandable manner also helps them to produce neat work which is attractive to the eye. All artists should have in mind that clarity of work does not only benefit the viewers but also benefits them because they get to market their products and make more sales hence earn more as their goal is to earn more.

References

Norris, C. (2002). Deconstruction: theory and Practice. London: Routledge.

Parker, H. P. (1969). Henry Perlee Parker Exhibition. New Bridge Street: Laing Art Gallery.

Royle, N. (2000). Deconstructions: A User’s Guide. Basingstoke: Palgrave Macmillan.

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Deconstructive Analysis Of Dubliners

Deconstructive Analysis Of Dubliners

Deconstructive Analysis Of Dubliners

Dubliner is a collected works containing short stories that were written by James Joyce. The short stories are a major boost to today’s play writers as well as essay writers. The first publication of the collection of the stories was first done in the year 1914. The stories were meant for the middle class of the Irish people in Dublin. Joyce’s stories were published at the time when nationalism of the Irish was leaning t its peak (Jeri & Johnson, 2000). At that time identity of the nationalists was at rage and also in its peak as well as with cultural backgrounds and history. This led to several influences been converged at Ireland. Joyce’s idea was mainly for epiphany was about experiences of a certain character and self understanding (Bowen & Zach 1974).

Actors of Dubliners

Several characters that are found in the Joyce’s Dubliners later appeared acting as minor actors in the famous novel of Ulysses which was liked and admired by many people all over the world. Stories found in the Dubliners today are a source of encouragement to many play writers. Child protagonists narrate the stories very well. The stories have passion for the lives of the older generation and their concerns. That was because Dubliners is in a collection of young generation, adult and the most mature generation.

The tale of the ‘The dead’

In the collection of Joyce’s Dubliners, the dead is final story but the longest and the most liked for its sweetness while reading. Gabriel Conrol finds himself in the center of the story. This is at the night when sisters of the Morkan were preparing for the annual dinner which was been celebrated annually, Gabriel surprises himself for discovering that he never understood much about the past experiences of his beloved wife

How and when- he discovers this by just making a joke hen he arrived at the party. The joke not towards his wife but towards the prediction of the maid’s marriage but in the process he is seriously and funky poked by his wife by bringing an old conversation that concerned about wearing of clothes hen the weather is very bad. This leads Gabriel to find himself in a pathetic situation but to show that he is a strong gentleman, he overcompensated some of his statements that he had dedicated to miss Ivors who was a citizen of the Irish origin (Jeri & Johnson, 2000). The two were dancing together at that evening.

Gabriels conventions led to Miss Ivor escaping away from the celebration before serving of dinner. Gabriel had talked issues that praised Irish nationals at the same time considered to hearing the past story on experiences of his wife. He never noted that his wife was standing far away from the staircases when he was talking all that. He got surprised at the last minute when he noticed her deep in thought. This was so amazing; he couldn’t believe it was her. What could he do next, just to stare on her as a real stranger? But Gabriel gains courage goes to her and envisages her as a real model in his illumination of distant heavy music.

Mrs. Gabriel was later so much diverted to a mood of sexual attention towards him but later becomes unresponsive when Gabriel confronted her to a private room. Gabriel notices that her wife had heard the song sung by D’arcy. Gabriel presses on his wife Gretta to openly tell him the reason she was that much affected by the Arcy’s song. Gretta agreed to tell her husband the whole story from her childhood when she fell in love with Michael Furey, a boy of her close age mate at the time when she was staying at her grandmother’s home. Later afterwards she was send away to Dublin and this led to distraction from her beloved boyfriend (Bowen & Zach 1974). Michael was so in deep with her such that regardless been very sick and bedridden he walked a long distance while raining to Gretta’s home whereby he climbed to the window and wished her all the best in her future. In one week’s period, Michael passed away. Michael’s death in the story of ‘the dead’ is like the death of Evelines mother’s death in the story of Eveline. Deaths of the two characters in these symbolize how they brought much effect to the lives of the main characters: that is Gabriel and Eveline. Gabriel was not aware of his wife’s past experiences and when he came to understand to notice, his life was not the same again. There is an indication in Gabriel’s mind that he believed his wife loved someone who was dead more than she loved him. In Evelines case, she realizes that she has to keep the promise of a dead mother rather than that of her boyfriend Frank.

Most of readers claim James Joyce wanted to prove to the world about the power of love (Bowen & Zach, 1974). The love in two dimensions-towards the parent and love towards the boy-girl relationships. The confession of Gabriel’s wife took him to another world of imagining about himself as well as of his wife, does he really feel insecure? This is what many readers ask themselves. Gabriel is also left imagining more about the living and the dead.

The tale of Eveline

This is a story of a young lady who passes through many experiences. She experiences the death of her mother as well as his older brother called Earnest. She tries to imagine how life has treated her poorly to an extend of thinking about leaving home. But will she really make it. The other brother of hers is busy with church activities that concern decoration. The girl is so much full of fear that her father will punish if he came to realize that she had a keen interest on jobs that do concern sales. She too like Greta in the story of the dead falls in love with a young man called frank. Frank has promised her girlfriend that they will tour Buenos Aires (Bowen & Zach 1974). The girl was much anticipating for that time and she hoped Harry, her boyfriend will keep the promise. Eveline hears music on organ grinder been played outside and this takes her memories back to the time her mother passed away. Eveline had promised her mother that she will always protect the home with due respect (Jeri & Johnson, 2000). The situation is very confusing to her. The sad memories over calm her, but will she leave her home and go away with harry.

Love that hurts

When ones love someone and he gets hurt, painful feelings come across. Frank was hurt by Eveline decision to remain at her own home; Gabriel was hurt by his wife’s confession- ‘Michael loved me to an extend of been rained on his way to visit me I was in love with him since childhood’ A difficult situation indeed. Frank was ready prepared for the journey but after been let down by her girlfriend will be a very hurtful situation. Gabriel was hurt by hearing the confession of his beloved wife that before him, he loved someone else. Greta’s love was for her first love Michael while in the tale of Eveline, the love is towards memories of her beloved mother who had died a few days ago. The big question several readers of the Eveline tale ask themselves is that; did Eveline really love frank?, why do they ask this? Its because after she declined to accompany frank in their adventurous journey, she never showed any emotions at all. She knew the situation will be so painful to frank but why did she not show any feelings. In the tale of the dead the readers can confirm that Michael truly loved Gretta! Why? This is because at one point he is seeing travelling all the way to the home of Gretta while it was raining and at the same time very sick, he goes to an extend of climbing to the top of the window to as to talk with his love. Eveline finds herself in an indecisive situation been confused on which way to go. After Michael passed away, Greta had no otherwise other than just to accept the fact and go ahead with his life. Another aspect that leaves readers of the dead tale with suspense is whether truly Greta loved Gabriel? Why? Because after Greta listened to Arcy’s song, his mind went back to the memories of his long time love, Michael. This shows that her true love was not Gabriel but Michael. The situation put Gabriel in an awkward position because he started becoming unsecure of his wife. Maybe he himself asked many questions starting with whether his wife’s heart was really for him or somebody else who passed a long time ago.

Gabriel may also have wondered why in all those years he never understood the life of her wife. In the tale of Eveline, frank may also wonder why he requested Eveline for an adventurous journey a few days after passing away of her mother. The confusing issue is that in the story of Eveline we are not told any other man she had fallen in love with. This to some readers can create a feeling that Eveline loved frank but due to the promise she had whispered to her mother at the time she was dying, her conscience can’t allow. Also in the story of the dead, Greta may have not had any option other than getting married to someone else despite her love death.

These two tales on James Joyce, elaborate on the decisions one may be able make when finds himself in a confusing situation, Greta is pressured by his husband to say why he was so emotionally affected by Arcy’s song. She never knows whether to confess the truth or to ignore, but she takes courage and tells her whole truth about her past. At some point Gabriel was put in a pathetic situation whereby he never knew how to quote one of the poem from the poet of browning Robert. This was mainly because he never wanted to be seen as just pretending. Gabriel gave himself courage and the audience believed on him (Jeri & Johnson, 2000). Eveline is confused whether on whose promise to keep. She gains confidence and decides o keep the promise of her dead mother over the promise of her man in love.

Journeys

There is involvement of journeys in the two stories. Frank was to take Evelina to the Buenos Aires, for an adventurous tour while Greta was to be sent off away from Galway to Dublin at the time her love Michael visited him on the window of her house (Bowen & Zach 1974).

Emotional moments

The story of the dead and Evelina is full of emotional moments- Evelina tries to think of her mother’s death as well as that of her brother and feels sorry for herself and the life before her ahead. When Greta confesses her love for Michael, Gabriel is over calmed by an epiphany of artistic and emotions. Greta is also filled with emotions of Michael’s death. The tale of the ‘the dead’ and ‘Evelina’ sympathize so much on the feelings of love of the Irish nationality.

Works cited

Bowen, Zach, Musical Allusions found in the Works of James Joyce: Early Poetry Through Ulysses Albany: Suny Press publishers, 1974.

Jeri Johnson, “Composition and Publication History”, in James Joyce, Dubliners, Oxford University Press, 2000.

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