Tuesday, August 25, 2020

Taxation Law and Practice Policy

Question: Talk about the Taxation Law and Practice Policy. Answer: Presentation: The citizen was occupied with the matter of giving moving exercises in lieu of charges paid ahead of time. The development charges paid by the understudies were set under tension record by the citizen. The citizen portrayed this anticipation account as Unearned store under-trained exercises account. The citizen followed the act of moving the development expenses got from advance record to income account subsequent to giving the move classes to the understudies. There was an understanding between the citizen and the understudies that advance expenses paid to the citizen won't be discounted. By and by, the citizen discounted the development charges got from the understudies if not all the classes are given to the understudies (Long et al., 2016). The citizen didn't treat the prepaid education costs got from the understudy as pay determined. The expenses were possibly remembered for the assessable salary when the citizen gave the tution. Along these lines, while computing the assessable pay just expense of the moving exercises that has been given during the salary year is incorporated by the citizen (Berger, 2016). The magistrate on receipt premise determined the assessable salary of the citizen. The expenses that were gotten ahead of time were remembered for the assessable salary of the citizen in the time of receipt and not in the year, the administration was really given according to area 25(1) of ITA Act 1936. The issue under the steady gaze of the court was to decide if the prepaid charges got ought to be remembered for the assessable pay of the citizen in the year the moving classes are given or in the year, the prepaid expenses are gotten (Brown, 2016). The citizen determined the salary in the year the moving classes are given and not in the year the prepaid expenses were gotten was held by the high court for this situation. In the event that the charges are gotten ahead of time, at that point the general guideline is that prepaid expenses got ought not be considered as pay and ought not be remembered for the assessable pay for the duty reason (Tran, 2015). The understudy and the citizen had an understanding that the charges that were paid ahead of time by the understudy won't be discounted. When all is said in done, practice the citizen discounted the expenses of understudies that didn't finish the exercises. In this manner, there exists a likelihood that the prepaid charges will be discounted to the understudies so it was additionally held by the court that such receipt of advance expenses couldn't be remembered for the assessable pay of the citizen. The pay determined during the pay year ought to be remembered for the assessable salary of the citizen according to area 6-5 of the personal expense appraisal act 1997. It is considered as salary inferred if the sum is gotten by the citizen or any one sake of the citizen according to area 6-5(4) of ITA Act 1997. There are two strategies for perceiving salary with the end goal of duty this are income technique and receipts strategy. The strategy that properly mirrors the salary of the citizen in the pay year ought to be decided for deciding pay for charge reason. The Para 19 of the Taxation Rule 98/1 expresses that according to general guideline the receipt technique is viewed as fitting to decide pay got from non business salary, pay got from work and pay got from venture (Dunne et al., 2014). If there should be an occurrence of procuring technique, the general guideline is that this strategy is viewed as proper if the pay is gotten from the matter of exchanging and assembling accord ing to Para 20 of the Taxation Ruling 98/1. By and large with the end goal of expense, the acquiring technique is considered as the most proper strategy for deciding salary. For this situation, the RIP Pty Ltd is occupied with the matter of offering types of assistance identified with memorial services. The organization during the salary year 30 June 2016 made a benefit of $2.45 million. The fundamental income of the organization was created from giving memorial service and other subordinate administrations. The organization gathered the expenses from the clients under various choices this are given underneath: Expenses are gotten from client by giving a receipt of net 30 days. Charges are gotten from outer insurance agencies by giving a net 30 days receipt. Charges are likewise gotten from financing organization RIP Finance ltd that under portion installment plan gives credit to the clients. Charges are likewise gotten from the commitment made by the clients under simple tentative arrangement. According to the general principle, the winning technique for the most part fittingly mirrors the business pay determined during the year. The salary ought to be quickly perceived by RIP in light of the fact that the organization determines pay when administration is given. The organization raises a 30 days receipt in the wake of offering the types of assistance as indicated by the built up techniques (Saad Udin, 2016). The organization ought not hold up until it get its installment for perceiving pay in light of the fact that according to acquiring technique the salary is determined as the administration that is required to be given has been given. Accordingly, the organization ought to perceive income after the administration is given and the receipt is raised. The organization runs a plan of simple tentative arrangement and under that plan organization gets charges ahead of time portions and consents to give the memorial service sometime in the future in future. This charges are gotten from the clients ahead of time are non refundable. On the off chance that a client neglects to finish all the portion installment that are require under the arrangement then the charges are relinquished by the organization. These relinquished expenses are moved to relinquished installment account. The organization doesn't have any obligation of offering support to those individuals for whose charges has been relinquished so this relinquished sums ought to be promptly perceived as income. In view of the above investigation it very well may be reasoned that pay is inferred as the burial service administrations is given by the RIP Pty Ltd. The high court on account of Arthur Murray expressed that in the year the administration is given the citizen infer salary in that equivalent year. The general guideline is that the development expenses got is perceived as salary in the year the administration is really given. The RIP Pty Ltd in simple likely arrangement consents to give burial service in future and gets advance expenses in portions. The development expenses got by the organization under the plan are treated as salary in the year the development is gotten. The conditions of this case and that of the instance of Arthur Murray is practically comparative so the standards of bookkeeping treatment built up under that case is relevant for the treatment of advance expenses got under the simple tentative arrangement (Dunne et al., 2015). Based on the standard set up on account of Arthur Murray the development charges got under the simple tentative arrangement ought not be incorporated as salary in the year the development is gotten yet it ought to be perceived in income in the year the burial service are really given. The conventional salaries according to segment 6-5 of the ITA Act 1997 can be accounted under two strategies with the end goal of duty according to Taxation Ruling 98/1. The two strategies for income as referenced in Taxation administering 98/1 are acquiring strategy and receipt technique. On the off chance that the pay is inferred in the year, the genuine or valuable salary is gotten then this strategy for perceiving income is known as receipt technique. The receipt technique is likewise generally known as money got premise or money premise. It is likewise given in area 6-5(4) of the ITA Act 1997 that it will be considered as pay inferred in spite of the fact that it isn't gotten by the citizen however somebody self in the interest of the citizen (Bray, 2014). There is another strategy for deciding salary with the end goal of assessment that is winning technique which is otherwise called money and credit strategy or gathering technique. Under this technique, it is considered as sala ry determined when the pay is earned and an obligation that is recoverable under the law is made. After the assignment that is required to be performed under the understanding is performed then the citizen can lawfully request the sum this is known as recoverable obligation. The conversation above features that the citizen and the official has two strategies for representing the reason for charge this are acquiring strategy and receipt technique. The strategy that properly mirrors the salary inferred during the year ought to be picked for deciding pay with the end goal of expense. The RIP Pty Ltd under simple likely arrangement gets charges ahead of time portions from the clients. The organization for the most part relinquishes the expenses got if the client neglects to pay all the necessary portions. The expenses that are relinquished are moved to a different record called relinquished installment account. The organization is no obligated to give the memorial service benefits under simple tentative arrangement in light of the fact that the client has neglected to pay all the portions that are required to be paid under this arrangement (Dunne et al., 2016). The present situation of the given case is that the organization has no risk to offer types of assistance and the expenses that are relinquished are non-refundable so it is encouraged to the organization that the relinquished record equalization ought to be perceived as pay. In this manner the equalization of $16200.00 ought to be treated as pay. As expressed in the segment 70-10 in the ITA Act 1997, the exchanging stock is considered as any type of ware which has been considered with the end goal of offer, trade or production reason in the customary line of the business. For the comprehension of the idea of the stock and characterizing, the significant worries in the normal course of the business. It is fundamental, for a business to consider the various kinds of the exchanging stock, things that must be remembered for the monetary, understanding or the advantages identified with capital addition charge, according to the segment 70-25 expressed in the ITA Act 1997. It had been expressed that the sum brought about ought not be educate regarding capita, in nature. In the given case it has been demonstrated that RIP has purchased ca

Saturday, August 22, 2020

Case 9-B Assignment Example | Topics and Well Written Essays - 250 words

Case 9-B - Assignment Example The National Enquirer is known as a newspaper concentrating on VIP tattle, news and wrongdoing stories. In the event that an up-and-comer who is standing by to be talked with peruses the National Enquirer rather than the organization yearly report, it uncovers the inclination of the possibility for perusing materials which are unverified and without esteem. In the event that an organization yearly report is perused, rather, the enrollment specialists would measure that the up-and-comer is intrigued to find out about the organization which he/she intends to serve. Driving propensities uncover a part of one’s character, particularly as far as taking care of startling circumstances. At the point when an individual drives, his brain naturally moves to routinary conduct and can be viewed as a huge sign of one’s employment execution. For the situation, the applicant lost his temper when his vehicle was hit by another vehicle in spite of it being his shortcoming. It uncovered his poor street behavior at first and conceivable powerlessness to deal with clashes and troublesome circumstances at work. These selection representatives underscore the need to remain concentrated on the enlistment procedure by putting everything else out of one’s brain. A definitive goal of enlistment is â€Å"to find qualified representatives who fit well into the way of life of the organization† (DuBrin, 2008, 303). In this manner, graduates looking for section level specialized and expert occupations must be at their best during the meeting procedure and be set up to tune in and react,

Saturday, August 1, 2020

Application Processing Update COLUMBIA UNIVERSITY - SIPA Admissions Blog

Application Processing Update COLUMBIA UNIVERSITY - SIPA Admissions Blog I thought I would provide a status update on our processing of applications and I would like to start by saying that the Admissions Committee has not started meeting yet.   In short, we have not started reviewing applications for admission, we are still working very hard on reviewing applications for completion. So here is where we stand . . . We have printed all of the applications submitted.   While this may sound strange to announce, it is a feat in the sense that all told applications probably represent close to 80,000 printed pages of information.   Printing 80,000 pages and then looking at each one to ensure readability and completion takes us a few weeks.   Do remember that just because you submitted a document or information online does not mean it will automatically be tracked as received. This is normal and full details on tracking were covered in this post (please review the post to familiarize yourself with how we track applications). We have manually reviewed approximately 70% of the application submitted.   This means we have not even looked at 30% of the applications we have printed.   They are waiting patiently in large piles for us to review.   An application that has not been looked at is at no disadvantage in the admission consideration process.   We will start to assign files to reading teams soon and not all reading teams start reading at the same time some start in January however some do not start until February. Thus we still have a few weeks before some readers will start reading which gives us time to review applications for completion. I estimate that when we do complete our review of all printed applications, approximately 35% will still be labeled incomplete which is where the matching process begins.   After we complete our first sweep through applications submitted and printed we will then go back and look to match documents that were not submitted on the application site.   The matching process takes us more time, but again, files completed a little later than others are at no disadvantage. As we complete our review if we feel we need any additional information we will send out email messages.   Just because an application does not read complete on the application site does not mean we do not already have everything we need it likely means that we just have not had the opportunity yet to view your application or search for necessary documents that were submitted and filed to await matching. So, if you have not received a completion email from us at this point in time do not let it be a point of concern.   We have at least 8-10 more business days of work ahead of us in terms of certifying files as complete.

Friday, May 22, 2020

Comparing the Movies Wall Street and Boiler Room Essay

Comparing the Movies Wall Street and Boiler Room Profit, profit and more profit - the golden pillars of capitalism. In the movies Wall Street and Boiler Room this is the ideology that the characters uphold. While, there are many variances in the two movies, the basic aim of both lead characters i.e. Gordan Gekko (Wall Street) and Seth Davis (Boiler Room) is to make money. Both men are stockbrokers who deal in high finance in the exclusive world of Wall Street. However, with both movies are set in different decades the way they go about doing so differs. Wall Street is set in the roaring eighties - a decade that has become synonymous with greed, the so-called era of plenty. With an economy just recovering from recession,†¦show more content†¦Boiler Room on the other hand, is in set in the more familiar nineties. Overall, this decade was one of prosperity, hard work and a significant rise in the standards of living for people all over the USA. The attitude of the decade seemed to be work hard, play hard - and all the rest will follow. Wealth was seen as something that was easily accessible to all those who wanted it - it was simply a matter of getting it. There is easy money to be made in start-ups and dot coms. Young people can be millionaires before they even hit their twenties. People like Sabeer Bhatia of Hotmail fame have set the standards. Both movies however, are undeniably focused on capitalism and the making, controlling and of course spending of money. As we see in both movies, it is made by sometimes unlawful means, and controlled by these same unethical people. The occurrence of these immense amounts of wealth is advertised by the spending of the main characters in the films. Expensive restaurants, expensive hotels, expensive homes, expensive paintings, state of the art technology (think Gordan Gekkos cool cellular phone - which at that time was perhaps the height of technology!), expensive suits and so on - are symbols of this wealth. In the movie Wall Street, we also see a little bit of control exercised over the blatant capitalism. This is in the form of tradeShow MoreRelatedStrategic Marketing Management337596 Words   |  1351 Pagesyear it was up to 58 per cent. The renaissance in cinema-going during the 1990s, driven by British-made hits such as Four Weddings and a Funeral and Trainspotting, as well as improved cinema complexes, showed up in an increase in women going to the movies – 57 per cent against just 40 per cent a decade earlier. Source: Marketing, 18 May 2000, p. 35. The net effect of changes such as these has been significant, and is continuing to prove so, with the marketing strategies of nearly all companies being

Sunday, May 10, 2020

Causes of 2003 Us Iraq War - 3883 Words

Liberalism and Hegemonic Stability Theory As Causes for the 2003 US-Iraq War Many factors went into the decision of United States leaders to enter into war with Iraq in 2003. These reasons can be related to various classical and modern theories on the causes of war between states. Though there are several stances and viewpoints on the righteousness or legality of the war on Iraq, an objective eye will notice that the real factors for going to war are neither grounded in righteousness nor law. They involve the maintenance of peace and power for those in control, in this case, the United States. The theories of Liberalism and Hegemonic Stability Theory both sufficiently account for the United States main motivations for entering war†¦show more content†¦Should the liberal state accomplish its goal of helping to establish a liberal state in the foreign country then it will be one condition closer to establishing a state of perpetual peace with that state from that point on. The tensions that exist between liberal and n on-liberal states comes from the idea that autocratic non-republican states are much more likely to go to war over reasons that would not spur a liberal state towards the same ends. Doyle states in his 1986 essay, Liberalism and World Politics, Liberal states have been attacked and threatened by non-liberal states that do not exercise any special restraint in their dealings with the liberal states. Authoritarian rulers both stimulate and respond to an international political environment in which conflicts of prestige, interest, and pure fear of what other states might do all lead states toward war, [Doyle 1986, 296]. Doyle explains that the fears and egos of non-liberal rulers can easily lead them towards war. These same fears and egos can be checked by a liberal republican state structure. Should a liberal state notice this aggression and fear within a foreign state, and if the foreign state is becoming too powerful and threatens its existence, then there may be cause for the liberal state to make a preventive strike against the threatening non-liberal nation. Preventive wars are commonly thought of as a product of Hegemonic Stability Theory. Hegemonic Stability TheoryShow MoreRelatedEssay America Needs the War in Iraq755 Words   |  4 PagesAmerica Needs the War in Iraq It has been three years since the war in Iraq started. In the US, people are afraid of some attacks, which may come in the future from terrorist groups. The US wants to control Iraq completely this time. Everyday, wherever I go, the news about war catches my ears and eyes. It is on the radio, on the net, and on television programs in the US. It means that everybody in this country really is concerned about the situation in Iraq because of AmericanRead MoreWar Againsts Iraq: The Media, Its Portrayal of the War and the Effect of Its Perspective1374 Words   |  6 PagesWar against Iraq By Olivier Gaudreau When the US initiated the 2003 invasion of Iraq, it gave the justification that the Iraqi dictator, Saddam aided the perpetrators of the September 11 attack on United States soil. The Bush administration also accused Saddam of engineering a nuclear program and amassing destructive weapons. All the US justification and the entire war have been highly criticized on many fronts. The media has taken the lead on shaping public opinion on both sides of the war, thatRead More The Conflict and Struggles in Iraq Essay1581 Words   |  7 PagesThe Conflict and Struggles in Iraq Throughout history, the United States has attempted to overthrow corrupt government in other areas of the world and instating democracies such as ours. 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On the other hand, when the invasion is seen in terms of its aftermath such as the destruction caused by it, the unpredictability natureRead MoreDecolonization : The Wretched Of The Earth 250 )1737 Words   |  7 Pagesback against their former European oppressors since it was the Europeans who started the violence: In Algeria and Angola, Europeans are massacred at sight. It is the moment of the boomerang; it is the third phase of violence; it comes back on us, it strikes us, and we do not realize any more than we did the other times that it s we who have launched it. (20) Sartre also blames the idea of non-violence by insisting that this passivity only serves the oppressors: Try to understand this at any rateRead MoreGeorge Wolfowitz s Decision Points Essay1345 Words   |  6 PagesBush administration to invade Iraq in 2003 despite strong opposition from the international community? On one side, the administration maintains that the invasion was necessary to prevent Iraq from developing weapons of mass destruction (WMDs). In his memoir â€Å"Decision Points†, Bush argued that Saddam posed too much of a threat–he brutalized his own people, violated international demands, and sponsored terrorist groups like al-Qaeda. On the opposing side, critics of the war argue that the Bush administrationRead MoreEssay The Invasion of Iraq was Illegal1703 Words   |  7 Pagesdictatorship warranted war, then we might also need to invade Zaire, Zimbabwe, Syria, Libya, China, and a host of other countries† (Babka) . This is a common argument that has been brought up by others who believe the invasion of Iraq was illegal. However, the failed diploma tic policies of the United States are what led to the failed invasion of Iraq. George W. Bush sent an invasion to Iraq with only Congress approving his â€Å"Authorization for Use of Military Force Against Iraq Resolution of 2002†.Read MoreThe Iraqi Intrusion Of Kuwait On Second Of August 19901607 Words   |  7 Pagescapacity to keep up steadiness in the wake of the cold war. Saddam Hussein s aggression created alternate oil emergencies, driving up costs. It tested the late recovery in status of the united countries. What s more it brought up issues about the preparation of the US and USSR to coordinate with each other, in circumstances which had connections to Iraq, however Washington was resolved to free Kuwait ( Young Kent 2004). The war demonstrated of focal significance to the Bush organization

Wednesday, May 6, 2020

A rough background on Aquinas Free Essays

Acquiring the famous reputation as the â€Å"angelic teacher† among the rest of the medieval philosophers because of his overwhelmingly influential and prominent struggle in brilliantly standing on guard the Christian theology during his time which was saw one of the heights of the attacks on Christianity, Thomas Aquinas made use of human reason in resolving the criticisms that beset the Christian Church. Resorting to human rationality and argumentation in providing a substantial justification for the Christian doctrines that meddled specifically on the existence of God symbolized a staunch deviation from the tradition that preoccupied the minds of thinkers during the medieval period. His efforts at utilizing the Aristotelian concepts on metaphysics and epistemology alongside with reason roughly highlights his firm belief that even with the sufficiency of simple faith in establishing religious principles and the very existence of God the role of rational thinking in the strictest sense of the word can all the more fairly demonstrate the basic principles of the Christian faith. We will write a custom essay sample on A rough background on Aquinas or any similar topic only for you Order Now One of the most prominent arguments Aquinas proposed is his Five Ways to prove God’s existence. Although Aquinas’ attempt at proving the existence of God has startling parallels to that of Anselm’s Ontological Argument, the former claims that the argument of the latter thinker is unacceptable for the reason that man cannot explicitly demonstrate the existence of God whose nature is beyond the immediate knowledge of man through the straightest means (Oppy). Utilizing what seems to be a sprouting method of his time, Aquinas attempts at filling the structure of the Christian faith by embracing the field of rationality along with faith as the backdrop of his arguments. The Five Ways First of the arguments raised by Aquinas is the argument for The Unmoved Mover. At the center of this argument is the premise that no object moves without a mover, or that all objects move because of a mover in the sense that the leaves of the trees rustle because they are moved by the wind; that the balls in the billiard table collide with other balls or move around the table because of the force delivered through the cue stick. A hundred other more examples can be provided. Nevertheless the very essence of all these illustrations is that no object moves without a mover. Apparently, all the examples eventually lead to an infinite regress where no end can be perceived at first. However, Aquinas tells us that this is not really an infinite regress for there has to be the presence of a first mover which initiated the series of â€Å"movements†. At this point, Aquinas proceeds to remove the infinite regress by arguing that the first mover is God. In a seemingly parallel argument, Aquinas’ second argument rests heavily on cause and effect relation. That is, nothing is caused by itself. In other words, each and every effect ultimately boils down to a certain cause, or that it is of necessity that every effect for it to be an effect in the strictest sense has to be caused by something right at the onset of it being an effect. Again, it might be observed that a line of argument leads to an infinite regress. However, it is not the case for an ultimate cause above anything else has to be responsible for the chain of causes and effects. For that matter, Aquinas resolves the regress by arguing that the first cause is God. This is the uncaused cause argument. The third way offered by Aquinas in primarily proving the existence of God is the cosmological argument. At the core of this argument is the reference to time wherein material objects have not yet come into physical existence. All the objects that we may know today are virtually inexistent at such point in time. However, Aquinas goes on to argue that since all material objects already exist, there ought to be or have been something immaterial or non-physical which brought these objects into physical existence. In essence, Aquinas claims that God is the non-physical entity which brought about the material existence of these objects. Another argument which Aquinas tries to raise is the argument from degree. This argument apparently focuses its premises on certain variations of comparisons between qualities among men and other objects thereby providing a sort of background for yet another claim that all objects in the world, in their numerous manifestations, greatly differ and outweigh any traceable similarity that may hold them together. Thus, individuals may greatly differ in virtues, with one being an altruist and the rest vicious criminals aimed at furthering their personal ends. Nevertheless, even if people vary in these aspects, the contrast between them can only be achieved if we note of a certain referential point for all the degrees of comparison. The reference, then, should be one which is imminently a perfect maximum and that this maximum cannot possibly rest among men themselves. Hence, God is the perfect standard for all comparisons and is the ultimate reference. Lastly, Aquinas raises the teleological argument which is essentially the argument that seeks to prove the existence of God using the perceived design of the objects in the world. If we are to look upon the structure of the things we may either directly or indirectly perceive in the world, it will eventually dawn upon our thoughts that everything has been designed in such and such ways, serving various purposes that are derived from the very configuration of things. Similarly, it can be inferred from such premise that, since everything is so designed accordingly, there ought to be a designer of all these things which is a necessity which follows from the given observation on the design of things. The designer, as Aquinas argues, is God. Aquinas and human knowledge: faith and reason For Aquinas, knowledge is the comprehension of the supreme principles of being which define the very inseparable essences of the ultimate understanding of man—that of the sophia and phronesis. While the former is very much concerned with the individual’s intellectual capacity to exercise speculative thinking or understanding, the latter is primarily concerned with the aligning of the individual’s life in line with its fitting end through the role of practical wisdom. These two are inherently mutual in conception and are basically brought together in man’s attempt at arriving at the knowledge of everything. Moreover, this attempt of man in obtaining knowledge requires the aid of the Divine in such a way â€Å"that the intellect may be moved by God to its act.† Nevertheless Aquinas maintains that man by himself alone has the intrinsic and innate ability to grasp the knowledge of many things even without the special divine revelation. More specifically, natural revelation— ­revelations obtained through reason—is the truth which, due to man’s inherent human nature, is made accessible to each and every man. On the other hand, supernatural revelation allows man to comprehend the knowledge on the details of the existence and attributes of God requiring not merely reason but also faith. It should be noted that Aquinas is not entirely disproving the role of reason in arriving at the comprehension of things. Quite on the contrary, Aquinas strongly argues for the primal role of reason in arriving at knowledge. Nevertheless, even if he ascribes a premium weight on the significance of rationality, he qualifies this claim by stating that faith still holds central importance, specifically in acquiring knowledge of the existence of God and several other religious matters. It appears quite obvious, then, that the philosophy of Aquinas in addressing the inquiry on human knowledge of the world cannot be entirely separated from a religious perspective. In explaining the nature of man’s knowledge and how one is able to grasp an understanding of the universe, Aquinas reinforces his arguments at the bottom by infusing a religious strand in the heaps of his epistemological and metaphysical inquiry. Aquinas on Aristotle The philosophy of Aquinas, in its very focal point, is seen to be heavily tainted with the philosophy of Aristotle. Much of this claim, for one reason, rests on the historical perspective wherein several of the writings on the philosophy of Aristotle eventually reached the shores of Europe during the time of the Crusades. The ancient texts were then a part of French as well as Italian universities and institutions of education around the middle part of the thirteenth century. Like Aristotle, Aquinas himself agrees and proposes the claim that man is in fact a rational animal wherein man is able to grasp an understanding of the world and to arrive at knowledge of the Divine through this reason. Though man is an entity imbued with reason, man can merely arrive at such a comprehension of the universe through empirical means. That is, man is capable of grasping knowledge of the world through his sensory experience. As Thomas Aquinas states, â€Å"whatever is known is known in the manner in which man can know it.† Mortimer Adler argues that for the most part, Aquinas and Aristotle agree on several points. First, they both agree that the form of the state of affairs of material composites, which can be made known, must be received by the knower with the form detached from the corporeal substance. Consequently, by possessing the power to acquire such forms in such a way grants the idea that the knower is â€Å"potentially a knower† and is actualized when the knower receives these forms. Among other similarities in the ideas that exist between Aquinas and Aristotle, both in general put centrality on the rationality of man and the role of experience or sensory perception in acquiring or knowing objects. Owing much of the philosophical content of Aquinas’ ideas from Aristotle, the former has a strong belief that reason and human experience can lead man to realizing and understanding the universe and, consequently, the existence of God. And at the time where philosophy is closely knitted to religious matters, Aquinas sought to further reinforce his arguments by injecting Aristotelian philosophy for rationality during the medieval times was one of the factors that seek to explain the universe from a point of view detached from any religious ascription. Thus, Aquinas appears to have ‘Christianized Aristotle’ in the sense that the former made much use of the latter’s philosophy in a context slanted towards religion. (Jenkins) On theoretical knowledge Aquinas conceived of theoretical knowledge as something which is the result of human rationality juxtaposed with sensory observation. That is, one can arrive at theoretical knowledge primarily through an observation of one’s world and arrive at a logical structure and correlation of these things through the functioning of reason. Though Aquinas may direct us to the premise that this rationality of man is imbued to all men by God, nevertheless this same rationality alongside with sensory perception addresses the question on how men are able to satisfy his inquiries on matters which are at first unknown to him. For example, one may acquire the theoretical knowledge on the how the tides of the oceans rise and fall through visual perception first and foremost which later on proceeds with the functioning of reason in attaching causal relations to the observed phenomenon. A similar view can also be held towards volcanic activity, rise and fall of economic activity, and many others. Bibliography Dawkins, Richard. The God Delusion. Houghton Mifflin, 2006. Gaarder, Jostein. Sophie’s World. Reissue ed: Berkley, 1996. Jenkins, John I. â€Å"Intellectus Principorum.†Ã‚   Knowledge and Faith in Thomas Aquinas. Cambridge University Press, 2004. 101-61. Oppy, Graham. â€Å"Some Historical Considerations.†Ã‚   Ontological Arguments and Belief in God. Cambridge: Cambridge University Press, 1996. 4-46.       How to cite A rough background on Aquinas, Essay examples

Thursday, April 30, 2020

Pornography Essays - Anti-pornography Feminism, Pornography Law

Pornography Suppose one accepts MacKinnon and Dworkin's suggested statutory definition of pornography. How does one who generally accepts MacKinnon and Dworkin's views on the pervasively harmful effect of pornography, and who accepts a need for legal redress of the harms perpetrated by pornography, deal with pornographic material? The ordinance proposed by MacKinnon and Dworkin would deal with such material by enacting legislation which gives people adversely affected by the works, which clearly fit their definition of pornography, a cause of action against the producers, vendors, exhibitors or distributors for "trafficking", or for an assault "directly caused by the specific work. I do not think liberals, or others for that matter, should have much problem with the clause dealing with assault, since a causal connection to specific works is demanded by it. However, s. 3.2(iii) which deals with trafficking would be very problematic for liberals and legal conservatives because it creates a cause of action for a person contrary to the traditional conception of a rights holder's cause of action. This subsection reads: Any woman has a claim hereunder as a woman acting against the subordination of women. Any man, child or transsexual who alleges injury by pornography in the way women are injured by it also has a claim. [emphasis added] My goal in this paper is to suggest that a slight modification to this subsection of the ordinance would make it very difficult for liberals and legal conservatives to object to it. This modification would restrict the cause of action to the same persons as the other sections of the ordinance, namely, the particular victim of the specified injury. I shall argue that such a modification would largely cohere with the conception of harm already at work in Ontario law, would afford only a minor reduction in the potential efficacy of such legislation in curbing the harm of pornography, and would offer to empower the feminist camp which is behind such an ordinance with a mechanism for social and political change if a sufficiently organized feminist "vanguard" took hold of the opportunity to empower women. Adrian Howe argues that the concept of social injury which may be suggested by the ordinance recognizes the differential harm felt by women from pornography. Howe suggests this social notion of harm may be a necessary feature of any successful law reform which is to address the huge social problem of male domination and female oppression. The liberal notion of an individuated human right fails to capture, for MacKinnon and Howe, "the specificity of the harm to women." Thus, an ordinance which did not create a cause of action "for women as women" would fail to address the root of the social problem of which pornography is a manifestation. This conception of social harm, and thus subsection 3.2(iii), may offend liberals or legal conservatives in two ways. First, the notion of non-individuated harm is antithetical to the liberal conception of a rights holder claiming a cause of action. Fundamental to a liberal conception of harm is the notion of the individual who is autonomous, separate and fundamentally worthy of respect. Rawls and Kant exemplify this view in their analyses when they posit the undifferentiated self, free of any particular qualities save that of being an agent worthy of a fundamental, inviolable respect. This notion of the individual worthy of equal concern and respect in the eyes of the state permeates liberal conceptions of rights. It is also a fundamental, if not exclusive, tenet of the common law of torts: In tort litigation, the courts must decide whether to shift the loss suffered by one person, the plaintiff, to the shoulders of another person [emphasis added]. Clearly, on its face this conception of harm precludes the notion of a harm suffered collectively which cannot be delineated individually. While class actions are possible, and claims may be made on behalf of groups such as company shareholders, this is only by virtue of the fact that a legally recognized individual has suffered an identifiable particular harm. Thus, the conventional liberal notion of harm is radically distinct from that outlined by Howe and MacKinnon. Since on the liberal conception rights holders are autonomous, individual selves who are essentially distinct, harm to one is distinct from harm to another. It may be that a liberal conception of a rights holder simply renders the concept of a social harm, and thus a cause of action "for women as women" incoherent. I do not wish to discuss whether it is possible to develop a complete liberal notion of social harm. It is sufficient to note

Friday, March 20, 2020

How to Identify Trees With Leaves

How to Identify Trees With Leaves Would you like to learn how to identify trees in your local community? The best place to get started is by looking at the trees foliage.   Trees With Leaves This is a big category, so lets break it down into two main groups: Trees with needles or scale-like leaves.  Cedar and juniper trees have scale-like leaves that look more like flattened out fans than either leaves or needles.  Cedar  trees have green scales and small cones.  Junipers, on the other hand, have bluish, berry-like cones. Trees with leaves.  To make things simpler, we are once again going to break this category into two groups. Trees With Simple Leaves These trees have one leaf attached to each stem. Leaves with a consistent leaf edge are called unlobed leaves while trees with leaves that form shapes along their margins are called lobed leaves.  If your tree has unlobed leaves, you must next determine whether or not it has teeth - or serrations around its margin. Unlobed and smooth (no teeth).  Magnolia  have large, glossy green leaves with rust-colored hairs on the under-surface.  Live oaks  have long slender deciduous leaves and small acorns.  Dogwoods  have wavy edges and 6-7 veins that pattern either side of the leafs midrib. If your tree has leaves that are oblong or elliptical and appear crowded on short branches, it might be a  Blackgum.  And if its leaves are thick and pointed, it might be a  Persimmon.Unlobed and serrated.  Willow  trees have long skinny leaves.  Basswood  trees have wide leaves with coarse teeth and a notched area around the stem.  Elm  trees are asymmetrical at the stem and double serrations around the edge. If your trees leaves are soft and shiny with teeth that curve in from the surface, it is probably a  Beech.  If its leaves are heart-shaped with double serrations, it is likely a  Birch. And if it has elliptical leaves with jagged edges, it is probably a  Cherry.  Ã‚  Lob ed. If your tree had leaves with different lobe patterns on the same tree, it is probably a  Ã¢â‚¬â€¹Sassafrass  or a  Mulberry.  If the lobes seem to radiate from a central point like fingers on a hand, it is called palmate and it is a maple, sweetgum, sycamore, or poplar.  Maple  trees have three to four lobes and are arranged opposite of one another on the branch.  Sycamore  trees have big leaves that are larger than four inches with shallow lobes and alternating (not directly across from one another,) on the branch. Trees with star-shaped leaves with pointed lobes are likely  Sweetgums.  And leaves that look like they have been cut off or flattened at the top with two lobes on other side of the mid-rib are probably  Poplars. If the lobes appear to radiate from several points along the midrib, the leaves are considered pinnate and it is either an oak or a holly tree.  White Oak  trees have lobes that are rounded along the edges and no spines.  Red Oakà ‚  leaves are rounded at the base but jagged or spiny along the edges. And  Holly  trees have small red berries and leaves with sharp, pointed lobes. Trees With Compound Leaves Palmately compound leaves. Trees in this category have multiple leaves that appear to grow from the same point on the stalk.  Buckeye  trees have long leaves with jagged saw-toothed edges while Horsechestnut  trees have shiny nuts and seven leaflets that turn yellow in the fall.Pinnately compound leaves. Trees with that have pinnate compound leaves have leaflets that grow from multiple points along the stem. Leaves that appear doubly compound (leaflets within leaflets,) are likely  Locust  trees.  Hickory  trees have nine blades that are uneven in size and alternate along the stem.  Ash  trees have leaflets that are opposite from one another along the stem and are the same shape and size. Walnut  trees have 9-21 pointed leaflets that alternate along the stem.  And  Pecan trees have 11-17 curved, sickle-shaped leaflets that alternate along the stem.

Wednesday, March 4, 2020

Learn the Basics of Earthquakes

Learn the Basics of Earthquakes Earthquakes are natural ground motions caused as the Earth releases energy. The science of earthquakes is seismology, study of shaking in scientific Greek. Earthquake energy comes from the stresses of plate tectonics. As plates move, the rocks on their edges deform and take up strain until the weakest point, a fault, ruptures, and releases the strain. Earthquake Types and Motions Earthquake events come in three basic types, matching the three basic types of fault. The fault motion during earthquakes is called slip or coseismic slip. Strike-slip events involve sideways motion- that is, the slip is in the direction of the faults strike, the line it makes on the ground surface. They may be right-lateral (dextral) or left-lateral (sinistral), which you tell by seeing which way the land moves on the other side of the fault.Normal events involve downward movement on a sloping fault as the faults two sides move apart. They signify extension or stretching of the Earths crust.Reverse or thrust events involve upward movement, instead, as the faults two sides move together. Reverse motion is steeper than a 45-degree slope, and thrust motion is shallower than 45 degrees. They signify compression of the crust. Earthquakes can have an oblique slip that combines these motions. Earthquakes dont always break the ground surface. When they do, their slip creates an offset. Horizontal offset is called heave and vertical offset is called throw. The actual path of fault motion over time, including its velocity and acceleration, is called fling. Slip that occurs after a quake is called postseismic slip. Finally, slow slip that occurs without an earthquake is called creep. Seismic Rupture The underground point where the earthquake rupture begins is the focus or hypocenter. The epicenter of an earthquake is the point on the ground directly above the focus. Earthquakes rupture a large zone of a fault around the focus. This rupture zone may be lopsided or symmetrical. Rupture may spread outward evenly from a central point (radially), or from one end of the rupture zone to the other (laterally), or in irregular jumps. These differences partly control the effects that an earthquake has at the surface. The size of the rupture zone- that is, the area of fault surface that ruptures- is what determines the magnitude of an earthquake. Seismologists map rupture zones by mapping the extent of aftershocks. Seismic Waves and Data Seismic energy spreads from the focus in three different forms: Compression waves, exactly like sound waves (P waves)Shear waves, like waves in a shaken jump rope (S waves)Surface waves resembling water waves (Rayleigh waves) or sideways shear waves (Love waves) P and S waves are body waves that travel deep in the Earth before rising to the surface. P waves always arrive first and do little or no damage. S waves travel about half as fast and may cause damage. Surface waves are slower still and cause the majority of the damage. To judge the rough distance to a quake, the time the gap between the P-wave thump and the S-wave jiggle and multiply the number of seconds by 5 (for miles) or 8 (for kilometers). Seismographs are instruments that make seismograms or recordings of seismic waves. Strong-motion seismograms are made with rugged seismographs in buildings and other structures. Strong-motion data can be plugged into engineering models, to test a structure before it is built. Earthquake magnitudes are determined from body waves recorded by sensitive seismographs. Seismic data is our best tool for probing the deep structure of the Earth. Seismic Measures Seismic intensity measures how bad an earthquake is, that is, how severe shaking is at a given place. The 12-point Mercalli scale is an intensity scale. Intensity is important for engineers and planners. Seismic magnitude measures how big an earthquake is, that is, how much energy is released in seismic waves. Local or Richter magnitude ML is based on measurements of how much the ground moves and moment magnitude Mo is a more sophisticated calculation based on body waves. Magnitudes are used by seismologists and the news media. The focal mechanism beachball diagram sums up the slip motion and the faults orientation. Earthquake Patterns Earthquakes cannot be predicted, but they have some patterns. Sometimes foreshocks precede quakes, though they look just like ordinary quakes. But every large event has a cluster of smaller aftershocks, which follow well-known statistics and can be forecasted. Plate tectonics successfully explains where earthquakes are likely to occur. Given good geologic mapping and a long history of observations, quakes can be forecasted in a general sense, and hazard maps can be made showing what degree of shaking a given place can expect over the average life of a building. Seismologists are making and testing theories of earthquake prediction. Experimental forecasts are beginning to show modest but significant success at pointing out impending seismicity over periods of months. These scientific triumphs are many years from practical use. Large quakes make surface waves that may trigger smaller quakes great distances away. They also change stresses nearby and affect future quakes. Earthquake Effects Earthquakes cause two major effects: shaking and slip. Surface offset in the largest quakes can reach more than 10 meters. Slip that occurs underwater can create tsunamis. Earthquakes cause damage in several ways: Ground offset can cut lifelines that cross faults: tunnels, highways, railroads, powerlines, and water mains.Shaking is the greatest threat. Modern buildings can handle it well through earthquake engineering, but older structures are prone to damage.Liquefaction occurs when shaking turns the solid ground into mud.Aftershocks can finish off structures damaged by the main shock.Subsidence can disrupt lifelines and harbors; invasion by the sea can destroy forests and croplands. Earthquake Preparation and Mitigation Earthquakes cannot be predicted, but they can be foreseen. Preparedness saves misery; earthquake insurance and conducting earthquake drills are examples. Mitigation saves lives; strengthening buildings is an example. Both can be done by households, companies, neighborhoods, cities, and regions. These things require a sustained commitment of funding and human effort, but that can be hard when large earthquakes may not occur for decades or even centuries in the future. Support for Science The history of earthquake science follows notable earthquakes. Support for research surges after major quakes and is strong while memories are fresh but gradually dwindles until the next Big One. Citizens should ensure steady support for research and related activities like geologic mapping, long-term monitoring programs, and strong academic departments. Other good earthquake policies include retrofitting bonds, strong building codes and zoning ordinances, school curricula, and personal awareness.

Monday, February 17, 2020

Question answer Assignment Example | Topics and Well Written Essays - 250 words

Question answer - Assignment Example These medical conditions and behaviors weaken the heart muscle, hence causing heart failure. One can be at the risk of having chronic congestive heart failure by smoking, being overweight or obese, being physically inactive, and having high blood cholesterol levels (Jeffrey & Ryan, 2007). All of these risk factors can be prevented or reduced to some certain degree. However, age is a risk factor for chronic congestive heart failure that cannot be prevented. When one approaches 75 years, the heart muscles become stiffer and less efficient: a natural consequence of aging (Jeffrey & Ryan, 2007). Causes of chronic heart failure such as high blood pressure and heart attacks become prominent from midlife onwards. Therefore, people age, they become more at risk of having chronic congestive heart failure (Jeffrey & Ryan, 2007). Fluid that goes back into the lungs causes the victim to cough. This backing up of fluid is encouraged when lying down. When sitting up straight, less fluid backs up into the lung, improving the condition (Trelogan, 2011). Liver and kidney failure can also be associated with this symptom. Accumulation of fluid in the feet happens when there has been prolonged standing. This happens because of fluid retention (Trelogan, 2011). Systolic heart failure: depressed and dilated left and/or right ventricle with low ejection fraction; diastolic heart failure: left ventricular ejection fraction (LVEF) normal but left ventricular hypertrophy (LVH) and abnormal diastolic filling patterns (Jeffrey & Ryan, 2007). Laboratory testing may reveal important heart failure aetiologies, the presence of disorders or conditions that can lead to or exacerbate heart failure; laboratory testing could also reveal important modulators of therapy (Jeffrey & Ryan, 2007). Laboratory testing may reveal important heart failure aetiologies, the presence of disorders or conditions

Monday, February 3, 2020

Performance Levels of iPhone Essay Example | Topics and Well Written Essays - 5000 words

Performance Levels of iPhone - Essay Example The present research has identified that Apple Company was incorporated in the year 1976 by Steve Jobs and Steve Wozniak. The duo brought on board a vision of transforming the way people viewed computers. Jobs and Wozniak had a key objective of making computers portable in order for people to have them in their homes or offices. Apart from venturing into the computer market, the Apple has also diversified into iPod and media player software. These two products have also seen good days in the market as they have become very popular across the age divide. The latest to be introduced in the company is the iPhone, a cellular phone, and the Apple TV into the market. For the sake of this study, it is important to mention that before the entrance of the Apple Company, Smartphone industry was dominated by the Canadian giant Research in Motion. The company had penetrated the market very well until the Apple emerged, and quickly overturned the tables. The major competitor of Apple’s iPh one is the Google products such as the Android operating system (OS) that is incorporated in a majority of non-Apple gadgets produced by Samsung, Huawei, Sony, HTC, Lenovo, and others. Philip defines the marketing mix as a business tool used in marketing. The tool facilitates a deep analysis of various aspects of a product so as to appeal to potential clients. Through the adoption of the marketing mix, the performance of the iPhone has increased significantly. Its assimilation in for the purpose of sales and marketing can explain the tremendous profitability, efficiency and the increased sales of a phone in the recent past. The marketing mix concept is illustrated in the paper.

Sunday, January 26, 2020

Energy Conversion Energy Transfer Assignment

Energy Conversion Energy Transfer Assignment The technical specification for a transformer may be found by examining its name plate. All transformers on the distribution and transmission network have a name plate. This plate has useful information about the transformer, e.g. how it is cooled, its KVA rating, the year it was mad and its LV HV arrangement. The information is stamped or etched on so it is permanent. [1] Image 1 SSE GMT Dorset KVA This is the transformers apparent power rating. Volts This is the Primary and Secondary voltages values of the transformer Amperes This is the Max current rating for the transformer Phases The amount of phases on the HV and LV sides Diagram DWG No Transformer schematic reference number Makers Serial No This is the serial number from the transformers manufacture Polyphase KVA Type of cooling The way the transformer is cooled Frequency Number of cycles per second in an alternating current Impedance A ratio of the transformers normal full load current to the current available under short circuit conditions Vector group ref indicates the windings configurations and the difference in phase angle between them Core and windings This is the weight of the core and windings Weight of oil This is the oil weight Total weight this is the combined weight of the oil, core and windings Oil This is the amount of oil in the transformer Year of manufacture This is the year the transformer was made Owners No This is where the owner of the transformer can label there asset With electrical machines it is very often the temperature rise permitted in the windings and insulation that determines the output, this applies particularly to transformers. Transformers are identified according to the cooling medium employed and its circulation method. The designated letters are assigned. Medium/Method Symbol Cooling Medium Mineral Oil Gas Water Air Synthetic Insulating Liquid O G W A L Circulation Method Natural Forced Forced Directed N F D The identification code used consists of 4 letters giving details of the cooling medium and circulation method for both primary and secondary cooling system. 1st letter Method 2nd letter Circulation 3rd letter Medium 4th letter Circulation Cooling medium in contact with winding Cooling medium in contact with external cooling system 2. The following items are associated with power transformers. Conservator tank The oil conservator is a single protecting device made of sheet steel, resistant or not to vacuum. It is cylindrical and has two fixing brackets. Usually, it is placed on a structure fixed on the transformer, above the cover level. In each side of the conservator there is one hole allowing its eventual washing during the exploitation. This hole is closed by means of a plate, which can hold (depending on the needs) an oil level magnetic indicator. The conservator has several holes to which are connected the corresponding piping. Each one of these piping has its specific activity (connection to the air breather, to the transformer cover, sampling, etc.). If the transformer is equipped with on-load tap changer, the conservator is divided by a septum. The larger compartment feeds the tank of the transformer and the smaller one feeds the on-load tap changer-breaking chamber. [3] Buchholz relay Every type of fault which occurs in oil filed transformer gives rise to the generation of gas which may be slow in the case of minor faults or violent in the case of major faults. The Buchholz relay is inserted in the pipe connection between the transformer tank and conservator. The Buchholz relay comprises of a cast iron housing which contains 2 elements. A mercury float switch which detects a fall in oil level and a combined deflector plate and float switch mounted so that it will detect any rapid movement of oil from the transformer to the conservator. The slow production of gas due to a minor fault causes a stream of bubbles to pass into the Buchholz chamber, resulting in a slow displacement of the oil and lowering the upper float which when sufficient will generate a Buchholz Alarm. A serious fault will produce an explosive generation of gas which rapidly displaces the oil and causes a surge to pass along the pipe towards the conservator and in doing so displaces the deflection plate, operating the lower switch which produces a Buchholz Trip which causes the transformer circuit breaker to trip. A leakage of oil from the transformer tank causes a gradual fall in the level of oil which when sufficient will be seen by the Buchholz Alarm float switch. The relay is also fitted with a petcock which can be used to take oil samples for analysis of the fault. Image 3, SSE S/S Paisley Road, Southbourne, Buchholz relay Neutral Earthing Resistor (NER) Neutral earthing resistors are a type of protection device, protecting equipment when there is a fault on the network. They work by restricting the amount of voltage and current that flows through the neutral point of the transformer its connected to, to a level that is safe preventing any damage. Neutral earthing resistors are generally connected between ground and neutral of the transformer. [2] Image 4, SSE S/S Paisley Road, Southbourne, NRE Image 5, NER Diagram [2] 3. Circulating currents can sometimes occur in a power transformer, explain why this happens and whether it is a good thing for power transmission and distribution networks. Â  [4] References [2] https://www.captech.com.au/solution/neutral-earthing-resistor/ [3] Table from SSE Document Library Ref: TG-PS-445 33kV transformers [4] http://www.gozuk.com/blog/circulating-current-in-parallel-transformers-585733.html

Friday, January 17, 2020

Political Risk in Malaysia

†¢ The fact that Prime Minister Mahathir has seen fit to take a two month vacation is the strongest evidence in a long time that his position within UMNO remains unchallenged. The political succession issue also seems clearer now that Mahathir has permitted his deputy to assume the title of Acting Prime Minister. Such a privilege was not given to trusted lieutenant Ghafar Baba in 1989, when the prime minister was recovering from a coronary bypass operation. Anwar's performance will be watched closely in the coming weeks. Another test of the extent to which Mahathir is at ease with Anwar will be the degree to which the prime minister gives Anwar free reign to deal with any public controversies which arise while he is on leave. †¢ The by-election victory of the opposition Democratic Action Party in Perak in mid-May surprised many observers. However, it would be an exaggeration to suggest that the result portends a significant shift of ethnic Chinese support away from the government in the nation as a whole. Local issues were paramount in the campaign, and voters knew that they could support the opposition without threatening the National Front's two-thirds majority in parliament. †¢ The differing approaches taken by Malay politicians (who have been calling for a tough stand against Singapore) and the Chinese business community (which has been urging moderation) has not yet led to any appreciable rise in ethnic tension. However, the situation could change quite significantly should Malay leaders suggest that the nation's ethnic Chinese were siding with Singapore. Tension between Singapore and Malaysia has remained remarkably persistent, over the last few weeks, egged on by the semi-official press in both countries. An informal boycott of Malaysia by Singapore travel agencies during the school holiday season has been followed by a variety of tit for tat moves in Malaysia aimed at reducing Malaysian exports through Singapore and cracking down on Singaporean professionals working illeg ally on social visit passes. While politicians on both sides of the causeway have been more careful in their public statements, it is difficult to believe that the critical tenor of the reporting by the mass media of both countries does not have at least the tacit support of the two governments. Even so, things are unlikely to be allowed to get out of hand. †¢ Relations with the US, however, are improving. Once a staunch opponent of an American security presence in Asia, Kuala Lumpur now appears quite willing to cooperate with the US military in the region, with a number of US warships making high-profile calls at Malaysian ports in recent months. The policy shift appears to be related to efforts by Prime Minister Mahathir to woo US companies to invest in his pet project, the Multi-Media Super-Corridor (MSC). By providing facilities to US forces, Kuala Lumpur hopes to send a reassuring signal to the American companies it hopes to attract to the MSC. pic] Near-Term Outlook Steady as she goes Given a choice, Mahathir would probably very much like to concern himself with foreign policy issues in the coming months. However, it is very likely that domestic issues will continue to push their way to the top of the political agenda, forcing the prime minister to intervene belatedly to settle various issues which emerge while he is overseas. To the extent that the prime minister will want to sh ow any serious interest in domestic affairs, his attention will probably be focused on corruption. Mahathir appears to have concluded that graft — and Malaysia's growing reputation for it — is becoming an increasingly serious obstacle to his efforts to win the country the international respect and admiration he believes it deserves as a result of its economic achievements. Meanwhile, Deputy Prime Minister Anwar Ibrahim's grip on the finance portfolio is under threat, with rumors circulating in Kuala Lumpur that the prime minister is none too pleased with the way he has handled several matters in the last few months. A series of missteps by Anwar has certainly left many in the private sector wondering whether the deputy prime minister is really the most suitable man for the job. There is little doubt that Dr. Mahathir remains in firm control of the country. So much so that uncertainties regarding policy issues only seem to emerge when he is not around. With the UMNO partly polls out of the way and national elections not due for some time, Dr. Mahathir can be expected to spend an increasing amount of his time pursuing his long-held interest in foreign affairs in locations such as Tokyo, Beijing and Seoul while putting domestic matters on hold. This year, Kuala Lumpur plays host to two important ASEAN meetings, and the prime minister will want to make the most of them. The first (in July) is the ASEAN ministerial meeting and its accompanying ASEAN Regional Forum with the grouping's dialogue partners. The second (in December) is the ASEAN informal summit. In the run-up to both, Dr. Mahathir can be expected to make his views known on a variety of internationally controversial issues. Apart from a few more speeches about perceived Western arrogance, the prime minister will be pushing for the acceptance of Myanmar as a full member of ASEAN. There will also be more talk about the formation of a de facto EAEC, with Kuala Lumpur inviting participation from countries such as China, Japan and South Korea. With the prime minister traveling overseas quite a lot, it is possible to argue that the prospect of short-term government policy paralysis this year is greater than is generally realized. On several occasions now, the government has revealed a lack of decisiveness when faced with a controversial issue while the prime minister was out of the country. A case in point is Anwar's foot-dragging early last year over the implementation of the rotation system for the position of Sabah Chief minister. Yet another was the unfavorable High Court decision last June which forced a temporary halt to work on the Bakun Dam in Sarawak. In both cases, flagging political resolve only revived when Mahathir returned to take charge of events. The more recent furor over the uncomplimentary remarks of Singapore's Lee Kuan Yew regarding the crime situation in the southern Malaysian state of Johore are yet another example of the same thing. Although the matter appeared to have been resolved before Mahathir left for Tokyo, ministers emerged from a subsequent Cabinet meeting chaired by Anwar to make off-the-record comments to the press to the effect that Malaysia had decided to â€Å"freeze† its relations with Singapore in the wake of remarks by Singaporean leaders that implied that Malaysia had overreacted. The resulting media reports shocked the business community in both countries, since such reports inevitably conjured up visions of the 1965 split and suggested that a wide range of business and political ties would be disrupted. Yet another possible source of uncertainty in the coming months relates to the extent to which corporate rivalries will continue to reflect an ongoing political rift between Dr. Mahathir and Anwar. Reports that Renong has come up with a proposal to build a high-speed train line between Kuala Lumpur and Singapore — an idea which clashes directly with similar plans by DRB-Hicom — certainly suggests that they will. In the popular mind, Renong is associated with UMNO Treasurer Daim Zainuddin (a close Mahathir confidant), while DRB-Hicom is seen as being more closely linked with individuals associated with Anwar. The reality, however, is probably a little more complicated, with the late Tan Sri Yahaya of DRB-Hicom (who died suddenly in early March) arguably at least as close to Mahathir as he was to Anwar. Either way, the two companies have such powerful connections that the battle between them will almost certainly involve political as well as purely economic criteria. Local pundits may not have got it exactly right in the case of Renong and DRB-Hicom, but there is little doubt that policy differences between the prime minister and his deputy do have some impact on the corporate scene. A case in point is the recent refusal of the finance ministry to provide financial guarantees to Ekran, the company responsible for the construction of the massive Bakun Dam. Anwar has never really embraced the project, and it is not hard to conclude from this decision that the finance minister is determined to make things as difficult for Ekran as possible, despite the fact that the Bakun Dam is one of Mahathir's pet projects. Of more relevance to the business community in general, however, is Anwar's performance as minister of finance. With the economy doing well, it may be argued that the fact that he lacks a solid background in economics is of little consequence. All that is really required is an intelligent personality capable of taking advice from experts in both the ministry and the central bank. At this level, Anwar seems to measure up. However, a closer look suggests that he is also capable of making errors of judgment which could create quite serious problems in the future if they are made at a time when the economy is less resilient. Take the problem we mentioned earlier about the Cabinet decision regarding Singapore. Anwar could have ended the confusion over the freezing-of-relations reports as soon as they arose, but he chose not to do so. Instead, he issued a press statement which, while stopping short of announcing a trade and investment boycott, appeared to support widespread rumors that such a decision had actually been taken. In this way it may be argued that he allowed the alarm to spread though the business communities of both countries. As a result, the value of both the ringgit and Singapore dollar dropped overnight. Perhaps Anwar was trying to send a political message to Singapore. If so, it is worth noting that although Mahathir has had some high-profile tiffs with Western nations in the past, even he has never before sent such a blunt message to a neighboring country. Yet another apparent lapse in judgment concerns the way the central bank (technically under the control of Anwar's finance ministry) handled an announcement at the end of March about new guidelines aimed at reducing lending to the property sector. A vaguely worded statement to the effect that the authorities had imposed a new 20% limit on bank loans to the sector sent the stock market reeling, with property and finance stocks in particular taking a beating. The new policy also redefined lending for share purchases in order to curb what monetary authorities said was excessive share speculation. Left to draw their own interpretations, some banks stopped giving out such loans altogether while checking whether they had exceeded the new limits. Anwar did little at first to clarify the situation, merely informing the press that he was satisfied with the CB move. It was not until several days later when the monetary authorities released details of the new guidelines (which contained exemptions that significantly watered down the effect of the new curbs) that the market stabilized. Not surprisingly, the incident has pleased nobody, with a number of economists privately accusing the authorities of backing down on an important measure designed to reduce the exposure of the banks to the property market. For Mahathir, the timing could not have been worse. The prime minister is particularly anxious to ensure that the listing of the Bakun Hydro-electric Corporation in June comes off well. With foreign investors shying away from the project, the company is now relying on the domestic market to absorb a massive M$3 billion in new shares. This will not be easy to do on a falling stockmarket, and Mahathir will now probably want to make sure that he is still in the country in the run-up to the IPO so that he can settle any last minute hitches. Meanwhile, with a Cabinet reshuffle on the cards in the coming months, the Deputy Prime Minister's political opponents can be expected to once again press for Anwar's removal in favor of Trade and Industry Minister Rafidah Aziz. Since the beginning of the year, Mahathir has lost two senior figures who played an important role in promoting projects in which he is especially interested. The uncertainties created as a result of the sudden death of businessman Tan Sri Yahaya show the sort of thing that can happen as a result of current Malaysian development strategies which place heavy reliance on individual entrepreneurs to run major companies in strategic industries. Of particular concern now is the fate of Malaysia's national car project which Tan Sri Yahaya headed. The resignation of Selangor Chief Minister Tan Sri Tun Mustapha in mid-April as a result of corruption allegations is another case in point. The loss of Tun Muhamad was not a serious political blow to the prime minister, since the latter was not considered a key Mahathir loyalist. However, it has raised questions about the extent to which his successor will be willing to push the Multimedia Super Corridor project and support the development of Putra Jaya, the new administrative capital. The Sultan of Selangor does not appear to be especially interested in cooperating with Mahathir in selecting a replacement, and has instead made disparaging remarks about transfers of land ownership during Tun Muhamad's tenure. The loss of key individuals in other economic sectors could also upset the apple cart. The huge M$15-billion Bakun Dam project in Sarawak, for example, is very closely associated with Tan Sri Ting Pek Khiing. The fact that he suffered a mild stroke last year cannot be regarded as good news for the hundreds of subcontractors — both local and foreign — which are expecting him to push the project through to completion. None of these problems, either by themselves or in combination, are likely to trip up a seasoned politician such as Mahathir, but they are going to be distractions from the foreign policy agenda the prime minister would rather follow. Two other developments are worth monitoring. The first concerns the degree to which the current anti-corruption drive can really be expected to take off, while the second concerns the (not entirely unrelated) political revival of UMNO Youth. The current anti-graft campaign really got going in the run-up to the UMNO party elections late last year when Mahathir ordered a blanket ban on campaigning in order to keep candidates from showering money and favors on delegates. Then, at the convention itself, he launched an emotional attack on graft, saying that it would destroy the party. The result has been that several corruption-tainted candidates competing in the party elections lost heavily. Since then, proposals have been tabled in parliament designed to increase the effectiveness of the Anti-Corruption Agency (ACA), the Selangor Chief Minister has been forced to resign, and no less than eight other senior officials have been placed under investigation. On this issue, Mahathir appears to have Anwar solidly behind him, although the latter has sometimes operated as something of a loose cannon, embarking on investigations that could ultimately implicate staunch Mahathir supporters such Works Minister Samy Vellu, for example. The latter development also points to a serious problem facing a national leadership wishing to pursue the matter further: how to launch a determined attack on graft without undercutting one's own political support. For this reason alone, it is a fairly safe bet that the current campaign will not be a comprehensive one. More likely, a few carefully chosen cases will be vigorously pursued in the hope that this will have a demonstration effect on other greedy individuals. Ahmad Zahid Hamidi, the newly elected leader of UMNO Youth, has not been wasting much time getting the once-influential organization back into the headlines. Although generally regarded as an Anwar man, Mr. Hamidi has an independent streak which could yet embarrass the deputy prime minister and see the youth organization setting off on a course quite different from that of the national leadership in the coming months. The violent way in which a conference on East Timor was broken up by Malay youths last year certainly put Anwar in the difficult position of having to distance the government from the actions of his political ally. Since then, Mr. Hamidi has taken on far less politically troublesome (for Anwar! ) issues such as the Australian racism debate, Singapore-Malaysia relations and Malay social problems. However, the ability of UMNO Youth to act independently in the future should not be underestimated. It would not be surprising, for example, if the organization turns out to be the prod that keeps the current anti-corruption drive alive much longer than many local politicians would like.

Thursday, January 9, 2020

Battle of Austerlitz in the Napoleonic Wars

The Battle of Austerlitz was fought December 2, 1805, and was the deciding engagement of the War of the Third Coalition (1805) during the Napoleonic Wars (1803 to 1815). Having crushed an Austrian army at Ulm earlier that fall, Napoleon drove east and captured Vienna. Eager for battle, he pursued the Austrians northeast from their capital. Reinforced by the Russians, the Austrians gave battle near Austerlitz in early December. The resulting battle is often considered Napoleons finest victory and saw the combined Austro-Russian army driven from the field. In the wake of the battle, the Austrian Empire signed the Treaty of Pressburg and left the conflict. Armies Commanders France Napoleon65,000 to 75,000 men Russia Austria Tsar Alexander IEmperor Francis II73,000 to 85,000 men A New War Though fighting in Europe had ended with the Treaty of Amiens in March 1802, many of the signatories remained unhappy with its terms. Increasing tensions saw Britain declare war on France on May 18, 1803. This saw Napoleon revive plans for a cross-channel invasion and he began concentrating forces around Boulogne. Following the French execution of  Louis Antoine, Duke of Enghien, in March 1804, many of the powers in Europe became increasingly concerned over French intentions. Later that year, Sweden signed an agreement with Britain opening the door to what would become the Third Coalition. Mounting a relentless diplomatic campaign, Prime Minister William Pitt concluded an alliance with Russia in early 1805. This came about despite British concern over Russias growing influence in the Baltic. A few months later, Britain and Russia were joined by Austria, which having been twice defeated by the French in recent years, sought to exact revenge. Napoleon Responds With threats emerging from Russia and Austria, Napoleon abandoned his ambitions to invade Britain during the summer of 1805  and turned to deal with these new adversaries. Moving with speed and efficiency, 200,000 French troops departed their camps near Boulogne and began crossing the Rhine along a 160-mile front on September 25. Responding to the threat, Austrian General Karl Mack concentrated his army at the fortress of Ulm in Bavaria. Conducting a brilliant campaign of maneuver, Napoleon swung north and descended on the Austrian rear. After winning a series of battles, Napoleon captured Mack and 23,000 men at Ulm on October 20. Though the victory was dampened by Vice Admiral Lord Horatio Nelsons triumph at Trafalgar the next day, the Ulm Campaign effectively opened the way to Vienna which fell to French forces in November. To the northeast, a Russian field army under General Mikhail Illarionovich Golenischev-Kutusov had gathered and absorbed many of the remaining Austrian units. Moving towards the enemy, Napoleon sought to bring them to battle before his lines of communication were severed or Prussia entered the conflict. Allied Plans On December 1, the Russian and Austrian leadership met to decide their next move. While Tsar Alexander I wished to attack the French, Austrian Emperor Francis II and Kutuzov preferred to take a more defensive approach. Under pressure from their senior commanders, it was finally decided that an attack would be made against the French right (southern) flank which would open a path to Vienna. Moving forward, they adopted a plan devised by Austrian Chief of Staff Franz von Weyrother which called for four columns to assault the French right. The Allied plan played directly into Napoleons hands. Anticipating that they would strike at his right, he thinned it to make it more alluring. Believing that this assault would weaken the Allied center, he planned on a massive counterattack in this area to shatter their lines, while Marshal Louis-Nicolas Davouts III Corps came up from Vienna to support the right. Positioning Marshal Jean Lanness V Corps near Santon Hill at the northern end of the line, Napoleon placed General Claude Legrands men at the southern end, with Marshal Jean-de-Dieu Soults IV Corps in the center. Fighting Begins Around 8:00 AM on December 2, the first Allied columns began hitting the French right near the village of Telnitz. Taking the village, they threw the French back across Goldbach Stream. Regrouping, the French effort was reinvigorated by the arrival of Davouts corps. Moving to the attack, they recaptured Telnitz but were driven out by Allied cavalry. Further Allied attacks from the village were halted by French artillery. Slightly to the north, the next Allied column hit Sokolnitz and was repulsed by its defenders. Bringing in artillery, General Count Louis de Langà ©ron commenced a bombardment and his men succeeded in taking the village, while a third column assaulted the towns castle. Storming forward, the French managed to retake to the village but soon lost it again. Fighting around Sokolnitz continued to rage throughout the day. One Sharp Blow Around 8:45 AM, believing that the Allied center had been sufficiently weakened, Napoleon summoned Soult to discuss an attack on the enemy lines atop Pratzen Heights. Stating that One sharp blow and the war is over, he ordered the assault to move forward at 9:00 AM. Advancing through the morning fog, General Louis de Saint-Hilaires division attacked up the heights. Reinforced with elements from their second and fourth columns, the Allies met the French assault and mounted a fierce defense.  This initial French effort was thrown back after bitter fighting. Charging again, Saint-Hilaires men finally succeeded in capturing the heights at bayonet point. Fighting in the Center To their north, General Dominique Vandammes advanced his division against Starà © Vinohrady (Old Vineyards). Employing a variety of infantry tactics, the division shattered the defenders and claimed the area. Moving his command post to St. Anthonys Chapel on the Pratzen Heights, Napoleon ordered Marshal Jean-Baptiste Bernadottes I Corps into the battle on Vandammes left. As the battle raged, the Allies decided to strike Vandammes position with the Russian Imperial Guards cavalry. Storming forward, they had some success before Napoleon committed his own Heavy Guards cavalry to the fray. As the horsemen battled, General Jean-Baptiste Drouets division deployed on the flank of the fighting. In addition to providing refuge for the French cavalry, fire from his men and the Guards horse artillery forced the Russians to retreat from the area. In the North At the northern end of the battlefield, fighting began as Prince Liechtenstein led Allied cavalry against General Franà §ois Kellermanns light cavalry. Under heavy pressure, Kellermann fell back behind General  Marie-Franà §ois Auguste de Caffarellis division of Lannes corps which blocked the Austrian advance. After the arrival of two additional mounted divisions allowed the French to finish off the cavalry, Lannes moved forward against Prince Pyotr Bagrations Russian infantry. After engaging in a hard fight, Lannes forced the Russians to retreat from the battlefield. Completing the Triumph To complete the victory, Napoleon turned south where fighting was still raging around Telnitz and Sokolnitz. In an effort to drive the enemy from the field, he directed Saint-Hilaires division and part of Davouts corps to launch a two-pronged attack on Sokolnitz. Enveloping the Allied position, the assault crushed the defenders and forced them to retreat. As their lines began to collapse all along the front, Allied troops started to flee the field. In an attempt to slow the French pursuit General Michael von Kienmayer directed some of his cavalry to form a rearguard.  Mounting a desperate defense, they helped cover the Allied withdrawal. Aftermath One of Napoleons greatest victories, Austerlitz effectively ended the War of the Third Coalition. Two days later, with their territory overrun and their armies destroyed, Austria made peace through the Treaty of Pressburg. In addition to territorial concessions, the Austrians were required to pay a war indemnity of 40 million francs. The remains of the Russian army withdrew east, while Napoleons forces went into camp in southern Germany. Having taken much of Germany, Napoleon abolished the Holy Roman Empire and established the Confederation of the Rhine as a buffer state between France and Prussia. French losses at Austerlitz numbered 1,305 killed, 6,940 wounded, and 573 captured. Allied casualties were massive and included 15,000 killed and wounded, as well as 12,000 captured.

Wednesday, January 1, 2020

The Main Differences Between ‘Classical Realism’ And ‘Neo-Realism’ - Free Essay Example

Sample details Pages: 8 Words: 2388 Downloads: 2 Date added: 2017/06/26 Category Politics Essay Type Compare and contrast essay Level High school Did you like this example? What are the main differences between ‘classical realism’ and ‘neo-realism’? Introduction Realism has become a foremost theory within international relations over six decades. Its contemporary construction is attributed to Hans Morgenthau and his work in the late 1940s. Morgenthau utilised previous works from scholars and strategists, which include, Ancient Greek scholar Thucydides, Machiavelli, Hobbes and his notions of the anarchic state, and the 1939 work of E.H Carr. Don’t waste time! Our writers will create an original "The Main Differences Between ‘Classical Realism’ And ‘Neo-Realism’" essay for you Create order Realism became the primary theory as the discipline of International Relations blossomed, forming political hypothesis based on its philosophies, such as Real Politik. As International Relations expanded as a discipline with Realism at its centre the theory become reformed. Kenneth Waltz succeeded in becoming the father of Neo-Realism in the same way Morgenthau had done with Realism thirty years prior. This resulted in a schism in the Realist theory between classic Realism and structural (neo) Realism. The purpose of this essay is to investigate this split and to distinguish the major differences of the two Realist strands. These theories are vast volumes of work that have been considered by the brightest minds of discipline for several decades, the salient features of the two theories discussed in this text will offer just a glimpse into their philosophies. Investigation to compare the differences of the two shall be split into two parts, firstly examining the theoretical b ase and highlighting the noticeable distinctions. The second part will conceptualise these points in a practical sense, attaching them to historical events predominantly from the twentieth century. Theoretical Morgenthau’s key principles of Realism consider states as individuals, a unified actor. One state represents itself, and these states are primary in international relations. Internal politics and contradictions are irrelevant as states pursue interests defined by power. Power, is a further key proponent of Morgenthaus paradigm, he believed it central to human nature and therefore state actors. Morgenthau considered human nature as corrupt, dictated by selfishness and ego, resulting in a dangerous world constructed by egotistical greedy actors. Thus Realism possesses at its core a very pessimistic outlook of constant threat and danger, logically therefore Realism submits as one of its fundamental considerations that state actors are driven by survival and the need for greater dominance and power to create a favourable balance of power and decreasing the actors potential to diminish. (Gellman, 1988). Realists consider these attitudes to consume national interest, trumpin g any other concern. Self-help becomes a necessity. Reliance or trust of other actors is foolish as Machiavelli describes â€Å"today’s friend is tomorrow’s enemy† (Morgenthau, 1948). Realisms success and prominence in international relations naturally exposed it to a series of critiques. Authors and scholars disagreed with its ideological theory and often advocated alternative theories. These included a Liberalist outlook that promotes the importance of democracy and free trade, while Marxists believe international affairs could be understood as a class struggle between capital and labour. Other theories derided the lack of morality, collectivism and simplicity in Realism. Despite it retaining several of the basic features of classical Realism, including the notions that states are primary unitary actors and power is dominant. Neo-Realism provided criticism of the classic paradigm. Structural Realism directed attention to the structural characteristic s of an international system of states rather than to its components (Evans and Newham, 1998). Kenneth Waltz detaches from Morgenthau’s classic Realism suggesting it to be too ‘reductionist’. He argues that international politics can be thought of as a system with a precisely defined structure, Realism in his view, is unable to conceptualise the international system in this way due to its varying limitation, essentially due to its behavioural methodology. (Waltz, 1979) Neo-Realism considers the traditional strand as being incapable of explaining behaviour at a level above a nation state. Waltz is described as offering defensive version of Realism, while John Mearsheimer promotes an offensive consideration of Realism, suggesting Waltz’s analysis fails to chart the aggression that exists in international relations, however they are often considered as one through neo or structural Realism. (Mearsheimer, 2013) The idea, that international politics ca n be understood as a system, with an exact construct and separate structure, is both the starting point for international theory and point of departure from the traditional Realism. The fundamental concern for Neo-Realists is why do states exhibit similar foreign policy behaviour regardless of their opposing political systems and contrasting ideologies. The Cold War brought two opposing superpowers that although were socially and politically opposite behaved in a similar manner and werent separate in their pursuit of military power and influence. Realism in Waltz’s view was severely limited, as where other classic disciplines of international relations. Neo-Realism is designed as re-examination, a second tier explanation that fills in the gaps classic theories neglected. For example, traditional Realists remain adamant that actors are individuals in international affairs, referencing the Hobbesian notion that two entities are unable to enjoy the same thing equally and a re consequently destined to become enemies. Whilst, Neo-Realists consider that relative and absolute gains are important and they may be attained by collusion through international institutions. (Waltz, 1979) Practical The salient theoretical differences exhibited in the first section will be strengthened in this second section by applying the theory to practical situations in order to enhance the understanding and the degree of separation. As one has discussed, traditional Realists consider that the foundation of international affairs is war, perpetrated by states. A Realist doctrine is exhibited by the actions and musings of Richard Nixon and Henry Kissinger, during their time together during Nixons presidency and with Kissingers influence on Nixon’s successor, Gerald Ford. While in the theatre of the Cold War, they attempted to maximise American power in order to safeguard American security against fellow actors. Incursions in Vietnam and Korea were designed at a basic level to keep their ideology as the primary superpower and increase American dominance. Nixon’s presidency was associated also with his administrations dialogue with China, and their keenness to exploit the S ino-Soviet split in order to tip the balance of power in America’s favour, all illustrating a class Realist mentality of international relations, that it is constructed entirely between state interactions and a grasp for power. (Nye, 2007) Another example that depicts this mentality is Thucydides work concerning The Peloponnesian War, an often-utilised example used by traditional Realists; Thucydides in his works expresses an unrelenting Athenian desire to pursue self-interest, and achieved this through the use of force and hard power. He famously wrote, â€Å"The strong do what they have the power to do and the weak accept what they have to accept† (Thucydides, 1972, p402). Thucydides sentiments illustrate the Realist notion of human nature being motivated primarily by power, and it is similar to subsequent wars throughout human history. Colin Gray a modern scholar concurs with the Realist outlook suggesting an inherent human characteristic that still drives states in the same way it did in 400 B.C (Gray,2009). Neo-Realists tend to distance themselves from this notion of a corruptible human nature. They blame the starting of the Second World War, not on innate human corruptibility, but on the failure to achieve a recognised international system. They disagree with Realist logic that the primary reason for the Second World War was Hitler’s lust to institute his power and influence across Europe. In their estimations the disorder provided by the Treaty of Versailles was principal in throwing the world back into war. Its adoption on the behest of French, British and American states provided the opportunity and the catalyst for the Nazi Party to flourish. Resentment in Germany of the allied powers, coupled with a weak nation unable to recover because of this ‘dictate’ rendered the German economy and military perpetually weak, all contributing to Hitler’s ability to snatch power and consequently produce t he elements to start a world war. The world was failed in Neo-Realist estimations by a lack of substantial system (Jervis, 1994). The response classic Realists provide to Neo-Realists is that their re-worked form of the theory is simply presented in a way that is more structural and scientific but with the core maintaining the original doctrines offered by traditional Realism. Although Neo-Realists do not deny that their ideology is extremely similarIt is an improvement on the original theory offering a more structured and formulated paradigm., but Realists argue those alterations, which include these structural formations is what inhibits the new theory. Richard Ashley is one author that concurs with these sentiments stating traditional Realism, provides an advanced concept of analysis (Ashley, 1984). For example, even if the Treaty of Versailles did create bleak conditions on Germany that incited the Nazi’s upsurge, the fundamental lust for power Hitler exhibited in the extreme was still predominant for starting World War Two regardless of structural factors. This analysis echoes Colin Gray’s opinions regarding the characteristics exhibited from the Peloponnesian War still being relevant in the twentieth and twenty-first centuries, and illustrates Realism relevance. A further crucial difference between the two strands is the role of political belief or governance. Classic Realism has always established this consideration. Hitler, Mussolini, Franco, Hirohito all had what was classed as un-democratic governances. Stalin, with a similar totalitarian system had initially signed a pact with Hitler, it was only the latter’s covetousness for supremacy that scuppered that particular alliance, illustrating the pessimistic nature of traditional Realism, not being able to trust other actors. Conversely, Neo-Realists, led by Waltz concluded that there is no â€Å"differentiation of function between different units, i.e. all states perform roughly the same role† (Halliday, 1994). Neo-Realism came at a time where the system had altered from what classic Realism was founded upon, a pre-war world of several great powers. The Cold War heralded a bi-polar system, dominant on nuclear weapons rendering the differing ideologies and political regimes irrelevant, it was the system that prevailed. Furthermore, America propped up highly undemocratic regimes throughout the Cold War in Asia, South America and the Middle East. Suggesting classic Realist arguments of governance systems is incomplete (Merhasimer, 2013). Traditional Realism witnessed a degree of a resurgence post-9/11, the event itself and the subsequent fallout was deemed textbook of classic Realism. Actors had to employ self-help and act unilaterally to stop attacks and an assault on the states survival. 9/11 produced a real illustration to the strength non-state actors can have on the international relations. Although Neo-Realism maintains the classic theory consideration of state primacy, it does reference non-state actors as relevant in the international system. Additional actors however must adapt to the actions of states Waltz suggests, â€Å"When the crunch comes, states remake the rules by which other actors operate.† (Waltz, 1979, p94) Furthermore, America’s democratic crusade dubbed ‘the war on terror’ was viewed as traditional Realism in action, inferring Morgenthau’s consideration of autocracy vs. democracy. However, Neo Realists will reference American support for very non-democratic states, such as its unwavering support for Saudi Arabia as the system still triumphing over the state and its form of governance. The actions of the US tie in with Mearsheimers offensive Realist outlook to seek hegemony, great powers recognize that the best way to ensure their security is to achieve hegemony now, thus eliminating any possibility of a challenge by another great power. Only a misguided state would pass up an opportunity to be the hegemon in the system because it thought it already had sufficient power to survive. (Merhasimer, 2001) Conclusion In conclusion whilst both strands of Realism remain constant in key areas such as the anarchic state, unitary actors and the importance of Power. Neo-Realism presents a shift away from the traditional theories offering a tangible alternative to the corruptible human nature consideration being the root of the cause conflict, as exemplified aptly by the debate on the outbreak of World War Two. However, the crucial point of departure that Neo-Realism provides is the importance given to the international system over the state, claiming that traditional Realism is inhibited by its methodology, failing to explain behaviour of an entity above the nation state. Neo-Realism allows for co-operation among states at a higher level than Realism permits, this provides an opportunity to succeed in achieving absolute and relative gains. The concept flourished during the Cold War, rejecting Morgenthaus system of governance analysis, suggesting that states behave the same regardless whether it s democratic or not. Neo-Realists still maintain this is relevant. Classic Realists disagree using the events of this century to prove that its methodology was always correct. In Sum, the two differ fundamentally on approach, Neo-Realism seeks to offer a systematic and scientific approach that they believe is lacking in traditional Realism; according to its proponents it complements the original theory by correcting its fallacies, building on classic Realism emphasis on self-interest, power and the state, challenging the human nature concept and behaviour above state level. Bibliography Ashley, R K, 1984. ‘The Poverty of Neo-Realism’. International Organisation , 38/02, pp. 255-286. Donnelly, J 2000 Realism and International Relations. 1st ed. Cambridge: Cambridge University Press Evans, G and Newham R, 1998. The Penguin Dictionary of International Relations. 1st ed. London: Penguin Fox, W, 1985. ‘E H Carr and Political Realism: Vision and Revision’, Review of International Studies 11/1 , pp.1-16. Gellman, P , 1988. ‘Hans J. Morgenthau and the Legacy of Political Realism’. Review of International Studies, 14/04, pp.247-266. Gray, C. S, 2009. ‘The 21st Century security environment and the future of war’. Parameters, XXXVIII (4). pp. 14-26. Halliday, F, 1994. Rethinking International Relations. 1st ed. Hampshire: Palgrave Macmillan Harrison, E. 2002, Waltz, Kant and Systemic Approaches to International Relations, Review of International Studies 28(1), 2002. Jervis, R, 1994. ‘Hans Morge nthau, Realism and the Study of International Politics’, Social Research 61(Winter)_, pp. 853-876 . Mearsheimer, J J, 2013. Structural Realism, in Rex Warner eds., M. Finlay Translates. International Relations Theories: Discipline and Diversity, 3rd Edition. Oxford: Oxford University Press, pp. 77-93. Mearsheimer, J J, 2001. The Tragedy of Great Power Politics. 1st ed. New York: W.W. Norton Company Morgenthau , H J, 1948. Politics Among Nations. 1st ed. New York: Knopf. Nye, J, 2007. Understanding International Conflicts: An Introduction to Theory and History in political science. 6th ed. Pearson Longman: New York. Thucydides, 1972. History of the Peloponnesian War M.I Finley eds, Translated by Rex Warner Penguin: London. Waltz, K, 2001, Man, the State and War: A Theoretical Analysis. 2nd Revised edition. New York: Colombia University Pres. Waltz, K. 2000, ‘Structural Realism after the Cold War’, International Security, 25(1). Waltz, K, 1979. Theory of International Politics . 1st ed. New York: McGraw-Hill.