Saturday, January 25, 2020
Boy-Actresses and the Character of Rosalind in As You Like It :: Shakespeare As You Like It Essays
Boy-Actresses and the Character of Rosalind in As You Like It à à à à à When Shakespeare wrote his plays, women were not permitted to perform on stage, so boys played all of the female characters.à Unlike many apprenticeships, a boy learning to become an actor had no set age at which to begin and no set length of how long to study, but they usually began around the age of ten and continued playing women or adolescent roles for about seven years.à These boys were apprenticed to a specific actor within an acting group, and were not attached to the organization as a whole.à There was a very strong teacher-pupil relationship between the adult actor and the boy, but there was also very often a father-son relationship.à The boys usually lived in the adult actors home with his family.à The idea of an apprentice is not difficult to imagine, but for many modern audiences, a boy playing the role of a women is very difficult to picture.à This picture is even more difficult to see when examining the plays of Shakespeare and the str ong female characters that he often depicts.à (Bentley 117) à In Shakespeare's As You Like It, Rosalind has many layers and acts as a character taking on many different roles.à The idea that there is a boy playing a woman disguised as a man pretending to be a woman for wooing, is one that is confusing and yet makes sense.à What adds to this is the idea that Rosalind, disguised as Ganymede, is pretending to be Rosalind, not another woman, but herself.à One can see that she occasionally slips from the role of Ganymede pretending, to being Rosalind, with comments such as "And I am your Rosalind" (Norton 4.1-56) and "By my life, she will do as I do" (Norton 4.1-135).à In these instances it is as though Rosalind forgets that she is disguised as a man, but what does this mean for the actor playing her character?à For one it shows that he must be clear as to which role of the character he was playing.à As one can imagine à "An audience would be confused unless the performer, regardless of gender, made it clear when Rosalind herself was speaking, when the character was speaking as Ganymede, and when Ganymede was the stereotyped 'Rosalind'"à (Shapiro 122). à This idea brings up the versatility that the boy must have had in order to play such a role.
Friday, January 17, 2020
Describe how the body responds to stress Essay
Acute stress causes the arousal of the autonomic nervous system (ANS). The ANS comprises of the sympathetic nervous system (SNS) which prepares the individual for ââ¬Ëfight or flightââ¬â¢ and the parasympathetic branch, which returns the individual to their original state of relaxation. Part of the SNS response is the sympathetic adrenal system (SAM), this system along with the SNS is collectively called the sympathomedullary pathway. The SNS is activated when the neurotransmitter noradrenaline is released and travels to the organs of the body preparing them for rapid action. Common responses to this would be increased heart rate, increased pupil size and metabolic changes such as a release of glycogen into the blood stream. In conjunction with the SNS, the SAM is also activated by an acute stressor causing adrenaline to be released into the blood stream, allowing the body to prepare for fight or flight. The SAM is regulated by both the SNS and the adrenal medulla. The adrenal medulla, which can be found in the adrenal gland near the kidneys, has two distinct zones, the adrenal medulla in the middle and the adrenal cortex around the outside. Neurons from the SNS travel to the medulla, so that when it is activated it releases adrenaline into the bloodstream. This adrenaline then has widespread effects on the physiological systems in the body e.g. boosting the supply of oxygen to the brain, and suppressing non-emergency bodily processes such as digestion. The parasympathetic nervous system will become active once the stressor has passed in order to relax the individual again and to re-start bodily functions that may have been repressed during the stressful period. The body deals with more long-term stress differently as it could not function long-term if it were to constantly be in the aroused via the ANS. The body uses the pituitary-adrenal system to regulate chronic physical or emotional stress, a process that takes about 20mins to complete. Once the body has identified the stressor as being chronic that information stimulates the hypothalamus which is responsible for controlling the bodyââ¬â¢s hormonal systems. Activation of a particular region of the hypothalamus, the paraventricular nucleus (PVN) leads to the production of a chemical messenger, corticotrophin-releasing factor (CRF), which is released into the bloodstream in response to the stressor. On arrival at the anterior lobe ofà the pituitary gland, CRF causes the pituitary to produce and release adrenocorticotrophic hormone (ACTH). From the pituitary, ACTH is transported in the bloodstream to its target site in the adrenal glands, located on top of the kidneys. ACTH then causes the adrenal cortex to release cortisol which has several effects on the body. Primarily it gives the individual a burst of energy and lowers their sensitivity to pain, however it also impairs cognitive performance, increases blood pressure and lowers the immune system. The pituitary-adrenal system is self-regulating with both the hypothalamus and pituitary glands using receptors to regulate the amount of CRF and ACTH in the body to maintain an appropriate level of cortisol in the bloodstream. Outline and evaluate research into life changes as a source of stress (6+6 marks) Rahe et al (1970) ââ¬â wanted to study normal people (i.e. not ill people) to see if the number of life changing events was positively correlated with illness. They used a military sample of 2700 naval men aboard 3 US Navy ships. They were all given a questionnaire (the SRE) just before they started a tour of duty which was based on the SRRS that Holmes and Rahe had originally devised. The questionnaire asked them about all the life events they had experienced over the previous 6 months. After about 7 months of duty they were given an illness score which was calculated based on the number, type and severity of all illnesses recorded during the tour of duty. Rahe et al found a positive correlation of +.118 between the life changing units (LCU) score they received from the SRE before going on tour, and the illness score they received following the tour. A high LCU score shows that the individual had b een through significant amounts of stress (either positive or negative), and so a positive correlation with their illness score would suggest that experiencing stressful life changes does lead to more problems with health. Michael and Ben-Zur (2007) ââ¬â studied 130 men and women, half of whom had been recently divorced and half recently widowed. They looked at levels of life satisfaction and unsurprisingly found that in the widowed group there was a higher satisfaction before their bereavement than after their loss. However, in the separated group they found the opposite, that individuals in fact reported more life satisfaction following their divorce than they had had before the separation. There areà several ways to explain this as it may be the result of a more positive outlook now they felt more in control of their lives instead of being ââ¬Ërestrictedââ¬â¢ by a partner, or perhaps they were now dating or living with someone new who made them feel happier. The SRRS suggests that any life-changing event has the potential to be harmful to health; however critics like Jones and Bright (2001) claim that in fact it is the quality of the event which dictates its impact. Undesired, unschedule d and uncontrolled events seem to be the ones which cause greatest negative effect. The key flaw in the SRRS is that it ignores individual differences, as different people will view the same life event as creating different levels of stress for them based on their situation, personality etc. For example the death of a partner may be devastating for one person but a blessed relief for another and yet both people would be given the same LCU score. Therefore it is not suitable to use a standard method of categorising individual stress levels when everyone is different. There is an issue of reliability in life change research as it is retrospective meaning reports may not be accurate or consistent as they are based on memory which can prove unreliable. Brown (1974) suggests that people who are unwell may feel the need to provide an explanation for their illness, and therefore are more likely to report stressful events than those who are not ill. Indeed Raheââ¬â¢s research of Naval personnel relied on the participants accurately recording life events prior to their tour of duty but some may have forgotten events, while others may have over-elaborated, which would have ultimately affected their scores. Discuss two explanations of why people conform (4+4 marks) Normative Social Influence ââ¬â deciding to comply through conformity without adopting that viewpoint. This may be as a result of feeling pressure from a majority and not wanting to be rejected from a group by dissenting as humans strive to develop and maintain social companionship. Therefore dissenting behaviour would risk social rejection and may damage relationships so we avoid it by conforming. Informational Social Influence ââ¬â Conforming to others due to a genuine belief that they are right. This would involve not just compliant behaviour but also a change in our own thought processes to align with those of the majority thinking. This is most likely to happen when a situation is ambiguous, a crisis, or we believe others to be experts. Normative social influence is particularly effective when a group has low quality inter-personal relationships. Garandeau and Cillessen (2006) found that people in these types of groups may be manipulated by a skilful bully so that victimisation of another child provides the group with a common goal. This suggests that the effectiveness of normative social influence is dependent on the type of relationships within the group. Informational social influence may explain the development and maintenance of social stereotypes. Wittenbrink and Henly (1996) found that participants exposed to negative comparison information about African Americans (which was presented as the majority view) later reported more negative beliefs about a black target individual. This suggests that we can be persuaded to alter our viewpoint permanently that we will continue to stick to the new view even in other contexts. There is evidence to support the idea that we seek information from other in ambiguous situat ions in order to form our own opinion. Fein et al (2007) found that political opinions of individuals shifted after showing them the reactions of others while watching a political debate. This suggests that when a situation has no obvious answers we look to others to help us create a judgement. Outline and evaluate research into obedience (6+6 marks) Following the execution of Adolf Eichmann in 1963 for his part in the murder of Jewish people during the Holocaust, Milgram was interested to see whether Adolfââ¬â¢s defence that he was ââ¬Ëonly obeying ordersââ¬â¢ had any real truth to it. He advertised for male volunteers to take part in a study into the how punishment affects learning. He offered all of the 40 participants who took part $4.50 and told them they would receive their payment even if they didnââ¬â¢t complete the full study. In addition to the participants there were also two confederates who were playing the role of the experimenter (an authority figure) and the learner. On arrival the participant and confederate were asked to draw straws for who would be learner and who would be teacher but this was rigged so that the participant was always the teacher. The participant was then told that he would be asking the learner a series of questions and if he got the answers wrong then the participant would give hi m an electric shock by pressing a the appropriate level button which would administer the shock to the learner in the next room. The shockà machine consisted of a range of buttons all labelled with voltage and a brief description of what that voltage level means e.g. 300v Intense Shock. The participant was also shown that the machine worked by being shown the learner receiving a mild shock. Initially Milgram had prepped the learner to get most of the questions wrong and told him to receive his shocks silently up until 300v when he was to bang on the wall and give no response to the next question. The learner was told to then repeat this at 315 volts, and from them on say and do nothing in response to the shocks. Milgram had also asked the experimenter to give prods to the participants if they asked to stop e.g. ââ¬ËIt is absolutely essential that you continueââ¬â¢. Before the experiment Milgram had asked psychiatrists, college students and colleagues to predict how far they thought participants would go before refusing to obey. Consistently they all predicted that very few would go beyond 150 volts and only 4% would reach 300 volts. They also predicted only a pathological fringe of about 1 in 1000 would go up to 450 volts. In fact, 65% of the participants in his initial experiment continued to 450 volts and all of them went up to 300 volts with only 12.5% of them stopping at that point. One of the major criticisms of the Milgram study is related to the ethical issues it raised. Milgram deceived participants by lying about the purpose of the study which means true informed consent was not given. However, Milgram argued that the experiment would not have worked if they had known its purpose. Secondly, although he offered them the right to withdraw it can be argued that this was cancelled out by the prods that the experimenter gave to the participants, which may have made them doubt whether they could discontinue the experiment. Baumrind (1964) also attacked Milgramââ¬â¢s research saying that he had placed the participants under great emotional strain, causing psychological damage. Milgram responded by saying he couldnââ¬â¢t have predicted the level of strain the experiment would cause and he fully debriefed participants after the experiment and again a year later and in fact found that 74% felt they had learnt something of personal importance from the experience. Milgramââ¬â¢s experiment was lab-based which meant it was not a true test of whether obe dience would occur in real-life. Hofling et al (1966) conducted a study on nurses to see if they would follow an order from a doctor that contravened hospital regulations. They found that all but one of the 22 participants did as they were told and obeyed theà order they were given, suggesting that even in a real-life setting obedience levels are similar to that of Milgramââ¬â¢s findings. However, Jacobson (1975) conducted a similar real-life study but used a well-known drug and allowed the nurses to consult with each other before making a decision (which is a more realistic representation of hospital practices). He found that the obedience level dropped to just 11%, suggesting that people in real-life arenââ¬â¢t actually as obedient as Milgramââ¬â¢s lab results showed. Discuss the role of minority influence in social change (6+6 marks) Minority Influence ââ¬â Moscovici (1976) believed that it was not only majority influence that led to groups being able to exert pressure on individuals. He said that without an outspoken minority advocating a different way of doing things, we would have no innovation or social change. This suggests that an individual who is exposed to a persuasive argument under certain conditions, they may change their own views to match those of the minority. There are four conditions necessary for social change to come about via minority influence 1) Drawing attention to an issue ââ¬â when an issue is drawn to our attention via a minority it creates a conflict of views which we become motivated to reduce through various resolution methods which in turn draw further attention to the issue making it more likely to gain further exposure. 2) The role of conflict ââ¬â when a minority view cannot be easily dismissed as obviously abnormal it forces us to examine their arguments more closely. This may not cause a complete shift to the minority view but it will cause an individual to re-examine and perhaps have a more balanced view of a given situation, which may in turn weaken the majority view over time if the minority view continues to spread 3) Consistency ââ¬â If arguments are presented consistently by a minority then they will be taken more seriously, as the assumption is that the view holder must really believe that what they a re saying is true 4) The augmentation principle ââ¬â If it is risky to hold a particular viewpoint and yet a minority still does then they will be taken more seriously by others in the group because they appear willing to suffer for their views. This will then lead to the impact of their position on other groups members to be increased or ââ¬Ëaugmentedââ¬â¢ which may make them more influential in bringing about social change. The suffragettes are a classic example of how minority influence can bring about social change. All four of the necessary conditions needed for social change to occur via minorityà influence can be seen in the way they campaigned for rights for women. They drew attention to their issue by employing educational, political and occasionally militant tactics. The role of conflict was seen when members of the majority started to move their views in line with the new way of thinking that the suffragettes were proposing. The suffragette message was consistent regardless of the attitudes of others over a 15 year period and even when they were jailed for civil disobedience. The suffragettes also showed that they were willing to suffer for the cause by risking imprisonment and even death from hunger strike, causing people from the majority viewpoint to start to augment their views with those of the campaigners. As a general rule, most people will go along with the crowd and maintain the status quo which puts minority groups at a distinct disadvantage as they lack social power and are seen by the majority as ââ¬Ëdeviantââ¬â¢. People will often avoid agreeing with a minority view as they then risk being seen as different themselves which has a negative connotation. This suggests that minority influence is latent, creating the potential for change rather than actual change. Describe one research study that has investigated the duration of STM (6 marks) Peterson and Peterson in 1959 aimed to conduct a piece of research which would study the duration of the short-term memory. They created a lab experiment which they believed would allow them to monitor how long a piece of information could be held in the STM without rehearsal. They used an opportunity sample of 24 students from the university that they worked at in the US and tested their recall using an independent measures design. The research began the test by saying a consonant syllable (nonsense trigram) followed by a three-digit number e.g. WJF 872. They were careful to ensure that the consonant syllable had no obvious meaning which would make it easier to remember e.g. BBC. As soon as the participant had heard the three-digit number they had to start counting backwards in threes from that number until told to stop. The idea behind this difficult counting task was to stop the participants being able to rehearse the consonant syllable, thus keeping it in their STM for longer and aiding recall. Each participant was given two practice trials to get used to the experiment and then 8 trials where the results were recorded. On each of the trials the retentionà interval (time spent counting backwards) increased: 3, 6, 9, 12, 15 or 18 seconds. The Petersonââ¬â¢s found that when the retention interval was only 3 seconds, about 90% of the participants could accurately recall the consonant syllable but when the interval was 18 seconds only about 2% could recall it. The conclusion made by the Petersons was that STM lasts for approximately 20 seconds without rehearsal before the information is lost from the store. Outline one strength of using a case study to study memory and one weakness of using a case study to study memory (6 marks) Strength ââ¬â One strength of using case studies to study memory is that they allow researchers to gather lots of rich data over a long period of time (that is both quantitative and qualitative) about a specific unique case of brain damage. In the study of HM, researchers were able to gather information about all aspects of HMââ¬â¢s memory problems allowing them to draw conclusions about STM and LTM that may not have been possible from simply studying ââ¬Ëhealthyââ¬â¢ brains. This suggests that being able to study brains that have been damaged and so donââ¬â¢t work properly allows researchers to make conclusions about how a healthy brain works. Weakness ââ¬â One weakness of using case studies to study memory is that they are often focused on someone who has suffered a trauma leading to brain damage which affects their memory. The problem with this is that it does not allow researchers to gain data from before the trauma making comparisons difficult and therefore it is harder to draw conclusions. In the case of KF who had suffered a motorcycle accident which affected his STM the researchers could not establish whether the level of trauma he had experienced, the actual brain damage he had suffered, or simply KFââ¬â¢s memory ability prior to the accident, were the cause of his STM problems. This suggests that the results of case studies on memory lack internal validity and so cannot be generalised to a wider population. Outline and evaluate the multi-store model of memory (6+6 marks) The Multi-store model of memory (MSM) was proposed by Atkinson and Shriffin in 1968 and aims to illustrate how information is processed in our brains in order to form memories. The model states that information enters the sensory memory store (SM) from the environment via the 5 senses. The SM has a large capacity but a very limited duration meaning that information is almostà immediately forgotten unless it is paid attention to. If attention is paid then the information will move into the short-term memory (STM) which is another temporary store, although the duration is slightly longer than the SM as information will remain for about 20 seconds before being forgotten. However, if maintenance rehearsal is used (repeating the information over and over either out loud or in your head) then information will remain in the STM for longer. The STM generally uses acoustic encoding due to the process of rehearsal and it can hold roughly 5-9 chunks of information at any one time. If the information is then added to by using elaborative rehearsal to make the information more meaningful then it will move into the long-term memory (LTM). The LTM has an infinite capacity and duration and tends to use semantic encoding. Once information has been stored in the LTM it can be retrieved for later use via the STM. There is also research evidence to support the concept of there being separate unitary stores within memory. Beardsley (1997) and Squire et al (1992) studied the brain using brain scanning techniques and found that when the short-term memory is being used for a task then the prefrontal cortex is active and when the long-term memory is being used for a task then the hippocampus is active. This suggests that there are indeed different stores for memory and that separate parts of the brain are active when they are being used . There is evidence to suggest that STM and LTM are not in fact unitary stores. Shallice and Warrington (1970) studied KF, a brain damaged patient, and found that he struggled to process verbal information in the STM but had no impairment with processing of visual information in this store. This suggests that the STM is in fact not one single store but may be made up of multiple components which undermines the MSMââ¬â¢s proposal of unitary stores. There is also evidence to suggest that the STM and LTM are not in fact separate stores but may work together to process information. Ruchkin et al (2003) found that the brains of participants recalling lists of real words more active than the brains of those recalling pseudo-words. He concluded that this was because the real words were being processed using previous knowledge and experience from the LTM whereas the pseudo words (which have no meaning) were only processed by the STM. This suggests that the linear relationship between STM and LTM in the MSM is not accurate and that in fact the STM may actually be part of the LTM. Outline and evaluate the working memory model (6+6 marks) The Working Memory Model (WMM) was proposed by Baddeley and Hitch (1974) they aimed to explain how information is processed in the bit of the memory that is used when an individual is working on a complex task. The basis of their model was that the STM was not just one single store but in fact is made up of several components. This was based on the fact that people seem to be able to perform two taks with equal accuracy simultaneously unless similar types of processing are required (e.g. two visual tasks at the same time). The first element to their model is the central executive (CE) which coordinates all the information the memory working memory system receives. It decides where to send incoming information which is received from the senses or the LTM and has to do this efficiently as it has limited capacity. There are three slave systems which operate under the CE, one of which is the Phonological Loop (PL). The PL was further subdivided by Baddeley in 1986 to form the phonologica l store (PS) and the articulatory process (AP). The PS stores any information which the individual hears, like an inner ear, while the AP uses the inner voice to silently repeat the information the individual has heard or seen (maintenance rehearsal). Another slave system is the visuo-spatial sketchpad which is used for planning spatial tasks and temporarily storing visual or spatial information. The final slave system is the episodic buffer which was added to the model in 2000 by Baddeley as he realised that the model lacked a general store which could hold both visual and acoustic information for more than a few seconds. Information from the other two slave systems, the CE and the LTM can be stored in the episodic buffer to create a complete memory which can then be transferred to the LTM for more permanent storage. Evidence from brain-damaged patients supports the WMMââ¬â¢s proposal of different stores for different types of processing in the STM. Shallice and Warrington (1970) studied KF who, following a motorcycle accident , had problems with some aspects of his STM. He seemed to be able to recall visual material quite well but struggled if information was presented acoustically. This suggests that the brain damage KF suffered may have been restricted to his phonological loop, supporting the WMMââ¬â¢s multi-component STM. However, there is also criticism of the CE as some feel that the notion of it being one single store is not accurate. Eslinger andà Damasio (1985) studied EVR who had suffered brain damage during an operation to remove a brain tumour. He still performed well on reasoning tasks but had problems with decision-making. This suggests that only part of his CE was intact and therefore shows that the explanation provided by the WMM of the CE being a single store is not complex enough. A further weakness of the WMM is that much of the research that has been conducted to evidence it comes from case studies. This is a problem as no ââ¬Ëbefore and afterââ¬â¢ comparisons can be made so it is not clear what actually caused the damage seen. This is evidenced in the case by Shallice and Warrington (1970) of KF who had problems with his STM. It was unclear whether the memory issues KF had were a result of previous memory ability, the trauma of the accident or the damage to his brain. This sug gests that case study evidence lacks validity and so should not be used to evidence the WMM as a general explanation for memory. Evaluate research on cultural variations in attachment (6 marks) The Strange Situation was created by an American psychologist and is based on the US viewpoint of what constitutes ââ¬Ënormalââ¬â¢ attachment behaviour. Rothbaum et al (2000) claimed that much of attachment theory and research is based in American culture and so using it to evaluate cross-cultural differences is not a fair comparison. This suggests that secure attachment, as outlined in Ainsworthââ¬â¢s research, is not the ideal attachment type to have. This means gaining figures about attachment types from various cultures and labelling them, according to a western viewpoint, is an imposed etic which labels behaviours negatively when actually they may simply fit with the cultural norms of that particular country. There is an alternative explanation for why attachment may seem to have universalities across cultures. Van Ijzendoorn and Kroonenberg (1988) suggested that the similarities in attachment behaviours across cultures may also be explained in terms of mass media promoting an ââ¬Ëidealââ¬â¢ perception of parenting. This might suggest that similarities in attachment are not due to innate biological influences but are a result of an increasingly globalised world which is receiving similar messages from the mass media. There may be problems with researcher bias in research that aims to explore cultural variations in attachment. Researchers tend to be studying their own culture e.g. Ainsworthââ¬â¢s Strange Situation research in Baltimore, which can lead to assumptions being made based on the previous knowledge of the culture they are researching. The opposite problemà can occur when a researcher undertakes research in a foreign culture e.g. Ainsworth in Uganda. The problem here can be the interpretation of data by the researcher, especially if there is a language barrier as important details may be lost in translation. This suggests that a major flaw with all attachment research is that multiple cultures can never be studied truly objectively.
Wednesday, January 8, 2020
Drinking Age Annotated Bibliography Essay - 969 Words
Anthony Martino English Comp Annotated Bibliography Change the Age to Save the Lives The legal drinking age in the United States is the only age that is above 19 years of age. Everywhere else in the world the age is 19 and under and some countries donââ¬â¢t even have a drinking age. The drinking age should be lowered to 18 because it will help all the problems that come with underage drinking. There is a numerous amount of reasons to change the drinking age to 18 and there are also many opposing thoughts on it as well. Three reasons to lower the drinking age in the US is to stop all of the illegal issues involved with underage drinking, Stop or cut down on the overuse of alcohol and drugs and the changing of adulthood when you turn the ageâ⬠¦show more contentâ⬠¦By lowering the drinking age to 18 we can stop the overuse of alcohol and prevent diseases in the later years of the young adults life. If the age is lowered to 18 the kids will not be ââ¬Å"all overâ⬠the alcohol at the sight of it. They do this because they cannot get it themselves so they arenââ¬â¢t sure when they will see it again so they just get to the alcohol and start drinking as much as they can. If we lower the age to 18 then they will be able to buy the alcohol themselves so they donââ¬â¢t have to gulp it as soon as they see it because they know they can get it themselves. This will help to prevent the disease of alcoholism in life later on. We can also stop the act of binge drinking by lowering the drinking age to 18. Most students binge drink because they cannot be seen with alcohol in public with alcohol because they are underage. Instead they just drink a lot in a small amount of time to get drunk before the party so they donââ¬â¢t have to carry around the alcohol this way. If the drinking age is lowered then the student can carry around a beer in public and will not have to indulge in binge drinking. By doing this it will prevent the disease of alcohol poisoning and will also stop many deaths caused by this disease. Binge drinking by students is the number one cause of alcohol poisoning in young adult teens because of the fact that they cannot be seen with alcohol in public. When young teens turn 18 years old then they are considered Adults. SinceShow MoreRelatedAlcohol Annotated Bibliography2329 Words à |à 10 PagesAlcohol Annotated Bibliography. Introduction. This Annotated Bibliography has been developed in co-ordination with an Alcohol Poster presentation, with the aim of elucidating the dangers alcohol has on a personââ¬â¢s health and wellbeing. The author chose alcohol as a topic, as it is well-known to be dangerous but in contrast it is readily available for people to purchase. Alcohol dependency has serious detrimental effects on peopleââ¬â¢s health and social lives. 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Romanticism, or gothic era isRead MoreCaffeine Synthesis1722 Words à |à 7 Pagesto slow down brain activity (Ruxton 16). Mood altering substances are considered dangerous and should be regulated or, at the very least, not readily available especially for people of all ages. Children at any age are able to obtain and consume caffeine. Of course, most children are not going to be drinking coffee but caffeine is found significantly in other products such as soda. The intake of caffeine has to affect children in one way or another. Like adults, children experience both positiveRead MoreDanger in Disguise Essay1332 Words à |à 6 Pagesadolescents and young adults,â⬠and they are drinks, ââ¬Å"containing high and unregulated amounts of caffeineâ⬠(1). Tanner further elaborates on the age of consumers when she says, ââ¬Å"about one-third of teens and young adults regularly consume energy drinksâ⬠(1). Although this statistic may appear insignificant when compared to the amount of soda consumed by this age group, it has raised some questions concerning the negative effects of energy drinks upon such a young group of people. Throughout her articleRead MoreUnderage Drinking Annotated Bib.3325 Words à |à 14 PagesUnderage Drinking: Annotated Bibliography Alexis Richter Comp 2 February 27th, 2010 Engs, Ruth C. Why the Drinking Age Should be Lowered: An Opinion Based Upon Research. CQ Researcher. N.p., 20 Mar. 1998. Web. 9 Feb. 2011. . The article ââ¬Å"Why the Drinking Age Should be Lowered: An Option based upon Researchâ⬠is about twenty years of research based underage drinking done by Ruth Engs. It talks about the way things were in the past compared to how things are now. The research doneRead MoreAlcohol Annotated Bibliography Essay2886 Words à |à 12 PagesJenna Knight 000474041 Mrs. Cukrowski Cornerstone 1 April 2013 Annotated Bibliography: Effects of Alcohol on the Brain Research Question: What long lasting effects does binge drinking have on the brain? As a college student, alcohol is a very real and prevalent temptation. It is a normal occurrence for a Friday night to be filled with friends, a bonfire, and alcohol out on the lake. Unfortunately, not many students know the effects of alcohol on their brain. I took a personal interest in this
Tuesday, December 31, 2019
What Is the Definition of Shape in Art
In the study of art, a shape is an enclosed space, a bounded two-dimensional form that has both length and width. Shapes are one of the seven elements of art, the building blocks that artists use to create images on canvas and in our minds. A shapes boundaries are defined by other elements of art such as lines, values, colors, and textures; and by adding value you can turn a shape into an illusion of its three-dimensional cousin, form. As an artist or someone who appreciates art, its important to fully understand how shapes are used. What Makes It a Shape? Shapes are everywhere and all objects have shape. When painting or drawing, you create a shape in two dimensions: length and width. You can add value to give it highlights and shadows, making it look more three-dimensional. However, it is not until form and shape meet, such as in sculpture, that a shape becomes truly three-dimensional. That is because formà is defined by including a third dimension, depth, to the two flat dimensions. Abstract art is the most obvious example of the use of shape, but the element of shape, organic and geometric alike, is central to much if not most artwork. What Creates a Shape? At its most basic, a shape is created when a line is enclosed: a line forms the boundary, and the shape is the form circumscribed by that boundary. Line and shape are two elements in art that are nearly always used together. Three lines are used to create a triangle while four lines can make a square. Shapes can also be defined by the artist using value, color, or texture to differentiate them. Shapes might include a line in order to achieve this, or it might not: for example, shapes created with collages are defined by the edges of contrasting material. Geometric Shapes Geometric shapes are those that are defined in mathematics and have common names. They have clear edgesà or boundaries and artists often use tools such as protractors and compasses to create them, to make them mathematically precise. Shapes in this category include circles, squares, rectangles, triangles, polygons, and so forth. Canvases are typically rectangular in shape, implicitly defining the clear edges and boundaries of a painting or photograph. Artists such as Reva Urban purposefully break out of the rectangular mold by using non-rectangular canvases or by adding on pieces that protrude out of the frames or by adding three-dimensional swells, dips, and protrusions. In this manner, Urban moves beyond the two-dimensionality of a rectangular confinement but still references the shapes. Geometric abstract art such as Piet Mondrians Composition II in Red, Blue, and Yellow (1930) and Theo van Doesburgs Composition XI (1918) established the De Stijl movement in the Netherlands. American Sarah Morriss Apple (2001) and street artist Maya Hayuks work are more recent examples of paintings including geometric shapes. Organic Shapes While geometric shapes are well-defined, biomorphic or organic shapes are just the opposite. Draw a curving, semi-circular line and connect it where you began and you have an amoeba-like organic, or freeform, shape.à Organic shapes are individual creations of the artists: they have no names, no defined angles, no standards, and no tools that support their creation. They can often be found in nature, where organic shapes can be as amorphous as a cloud or as precise as a leaf.à Organic shapes are often used by photographers, such as Edward Weston in his remarkably sensual image Pepper No. 30 (1930); and by artists such Georgia OKeeffe in herà Cows Skull: Red, White, and Blue (1931). Organic abstract artists include Wassily Kandinsky, Jean Arp, and Joan Miro. Positive and Negative Space Shape can also work with the element space to create positive and negative spaces. Space is another of the seven elements, and in some abstract art, it defines shapes. For instance, if you draw a solid black coffee cup on white paper, the black is your positive space. The white negative space around it and between the handle and the cup helps define the basic shape of that cup. Negative and positive spaces were used with great imagination by M.C. Escher, in examples such as Sky and Water 1 (1938), in which dark images of a flying goose evolve through progressively lighter and then darker steps into dark swimming fish. Malaysian artist and illustrator Tang Yau Hoong uses negative space to make political commentary on cityscapes, and modern and ancient tattoo artists use positive and negative spaces combining ink and un-tattooed flesh. Seeing Shape Within Objects In the first stages of drawing, artists will often break their subjects down into geometric shapes. This is intended to give them a basis on which to create the larger object with more details and in correct proportion.à For example, when drawing a portrait of a wolf, an artist might begin with basic geometric shapes to define the animals ears, snout, eyes, and head. This forms the basic structure from which he will create the final work of art. Leonardo da Vincis Vitruvian Man (1490) used geometric shapes of circles and squares to define and comment on the anatomy of a human male. Cubism and Shapes As an acute observer, you can break any object down to its basic shape: Everything is made up of a series of base shapes. Exploring the work of the Cubist painters is a great way to see how artists play with this elementary concept in art. Cubist paintings such as Pablo Picassos Les Desmoiselles dAvignon (1907) and Marcel Duchampsà Nude Descending a Staircase No. 3 (1912) use geometric shapes as playful and haunting references to the organic shapes of the human body. Sources and Further Reading Beck, Paula D. Fourth-Grade Studentsââ¬â¢ Subjective Interactions with the Seven Elements of Art: An Exploratory Case Study Using Q-Methodology. Long Island University, 2014. Print.Davidson, Abraham A. Cubism and the Early American Modernist. Art Journal 26.2 (1966): 122-65. Print.Kelehear, Zach. Pass the Crayons: Leadership, Art Production, and Communities of Practice. International Journal of Education Policy Leadership 5.10 (2010). Print.Pasko, Galina, et al. Ascending in Space Dimensions: Digital Crafting of M.C. Eschers Graphic Art. Leonardo 44.5 (2011): 411-16. Print.Silk, Gerald. In and out of Shape: The Art of Reva Urban. Womans Art Journal 34.2 (2013): 21-28. Print.Stiny, George, and James Gips. Shape Grammars and the Generative Specification of Painting and Sculpture. The Best Computer Papers of 1971. Ed. Petrocelli, O.R. Philadelphia: Auerbach, 1971. 125-35. Print.
Monday, December 23, 2019
The Grapes Of Wrath By John Steinbeck - 1806 Words
The ââ¬Å"Grapes of Wrathâ⬠a story written by John Steinbeck tells of the woes that surround the great ââ¬Å"Dust Bowlâ⬠that took place in our country during the 1930s. After already being hit by the Great Depression, the bread basket of our nation sinks even further as they soon delve into an economic disaster. Within this novel, Steinbeck opens a window for readers into the lives of the people who suffered to survive tis catastrophe; while also bringing up many social, economic, and political issues surrounding it in symbolic ways. The book itself is centered around the journey of a singular family, but is representative of the horrifying journey thousands of people dealt with at the time. Amid the narrative story, Steinbeck gives readers a moreâ⬠¦show more contentâ⬠¦As high-wind storms went through the land, which is common in the area, the soil that was left had nothing to hold on to, and thus it blew everywhere. Tenants could no longer farm, many of them we re even trapped in their homes much of the time due to the high amount of dust. Thus, to this disaster, tenants were kicked of their land with nowhere to go. Starving and left without options these people looked towards the westward direction, to a land called California, where they were told there was work. Thousands of people packed up their families and whatever small amounts of personal possessions hey could carry and began the westward journey. Thus, began the nationââ¬â¢s second great migration westward. The Dust Bowel began because man tried to play God. The need for land and profit outweighed the need to care for the world we live in; when once farmers lived on small parcels of land, cultivated it, cared for it, and took pride in it, now became a means to make money at all costs. Man, pushed against nature and nature fought back with vengeance. Because of this disaster and the devastation, it caused one would think man would recognize it and prevent it from happening agai n. Sadly, this appears to not be the case. Today, man is still pushing against nature like never before. Manufacturing pollutes our air, ships, fuel, waste, and more pollute our waters, forests are cut down, land has continued to beShow MoreRelatedThe Grapes Of Wrath By John Steinbeck Essay1622 Words à |à 7 Pages The Grapes of Wrath John Steinbeck, widely viewed as one of the most finest and powerful American writer, born to a middle-class family in 1902 in the Salinas Valley of California. Steinbeck is a writer who often spoke for the people. The Grapes of Wrath is a great movie, published in 1939, filled with many universal truths and views on human nature and society, especially where class is concerned. In the article, John Steinbeck The Grapes a wrath: A Call to Action says, ââ¬Å"Steinbeckââ¬â¢s novel showcasedRead MoreThe Grapes Of Wrath By John Steinbeck1075 Words à |à 5 PagesKirsten Lloyd Mr. Eldridge AP Junior English 21 August 2014 Grapes of Wrath ââ¬Å"Sometimes even to live is an act of courage.â⬠(Seneca), In the 1939 novel, The Grapes of Wrath by John Steinbeck, the reader accompanies the Joad family as they struggle to escape the crippling Dust Bowl of the mid- 1930ââ¬â¢s. In hopes of establishing a new life for themselves after being forced off their land the family embark on a journey from Oklahoma to California in search of fruitful crops and steady work alongRead MoreThe Grapes Of Wrath By John Steinbeck1563 Words à |à 7 Pages John Steinbeckââ¬â¢s novel, The Grapes of Wrath, depicts a migrant farming family in the 1930s. During this time, life revolved around the Great Depression and the Dust Bowl, making circumstances difficult for almost everyone involved, especially those who had little. This time of drought and despair caused people to lose hope in everything theyââ¬â¢ve ever known, even themselves, but those who did not, put their hope in the ââ¬Å"promised landâ⬠of California. Here, the grass was thought to be truly greenerRead MoreThe Grapes Of Wrath By John Steinbeck1189 Words à |à 5 Pagesââ¬Å"The Grapes of Wrathâ⬠Shortly after being released John Steinbeckââ¬â¢s book ââ¬Å"The Grapes of Wrathâ⬠was banned because many critics viewed the novel as promoting communist propaganda, or socialist ideas. The ideas that many of these critics point to is Steinbeckââ¬â¢s depiction of the Big Banks/ Businesses as monsters, the comparison of Government camps to a utopia in contrast of the makeshift ââ¬Å"Hoovervilles,â⬠and the theme of the community before the individual, In his novel ââ¬Å"The Grapes of Wrathâ⬠John SteinbeckRead MoreThe Grapes Of Wrath By John Steinbeck1093 Words à |à 5 Pages In John Steinbeck s The Grapes of Wrath, Tom Joad and his family are forced from their home during the 1930ââ¬â¢s Oklahoma Dust Bowl and set out for California along with thousands of others in search of jobs, land, and hope for a brighter future. The Grapes of Wrath is Steinbeckââ¬â¢s way to expound about the injustice and hardship of real migrants during the Depression-era. H e utilizes accurate factual information, somber imagery, and creates pathos, allowing readers connections to the Joadââ¬â¢s plightRead MoreThe Grapes Of Wrath By John Steinbeck1190 Words à |à 5 PagesThe Grapes of Wrath April 14th, 1939, John Steinbeck published the novel, The Grapes of Wrath. The novel became an immediate best seller, with selling over 428,900 copies. Steinbeck, who lived through both the Great Depression and the Dust Bowl, sought to bring attention to how families of Oklahoma outdid these disasters. Steinbeck focuses on families of Oklahoma, including the Joads family, who reside on a farm. The Joad family is tested with hardship when life for them on their farm takesRead MoreThe Grapes of Wrath by John Steinbeck702 Words à |à 3 PagesJohn Steinbeckââ¬â¢s use of the intercalary chapters in The Grapes of Wrath helps weave the readerââ¬â¢s sympathy of the Joad family into a more broad sympathy for the migrant farmers as a whole, in the hopes that the readers would then be compelled to act upon what they have read. During the Great Depression, people had a big disconnect about what was happening in various parts of the country. People often struggle to find sympathy for events when they canââ¬â¢t even visualize a person who is suffering throughRead MoreThe Grapes Of Wrath By John Steinbeck2144 Words à |à 9 PagesThe Grapes of Wrath is a well-known beloved novel of American Literature, written by John Steinbeck and published in 1939. Whoever said a road is just a road has not read The Grapes of Wrath. From the time we read when Tom Joad, novelââ¬â¢s protagonist, returns home after four years in prison; the meaning of roads changed. Route 66, also known as the mother road the road of flight, was a lifeline road, which allowed thousands of families to pursue their hopes and dreams. This road is also the road thatRead MoreThe Grapes of Wrath by John Steinbeck1014 Words à |à 5 PagesJohn Steinbeckââ¬â¢s novel, The Grapes of Wrath, was first written and later published in the 1939. Fr om the time of its publication to date, the exemplary yet a simple book has seen Steinbeck win a number of highly coveted awards including Pulitzer Prize in 1940 and later on Nobel Prize for Literature in 1962. Set at the time of the Great Depression, the book most remarkably gives a descriptive account of the Oklahoma based sharecropper Joadââ¬â¢ poor family in the light of economic hardship, homelessnessRead MoreThe Grapes Of Wrath By John Steinbeck1064 Words à |à 5 PagesThe Grapes of Wrath, originated from a John Steinbeckââ¬â¢s book, a legendary film that focus on a major point of American history. The story follows the Joad family on their journey to California trying to survive the hardships. This film, focus on the social problems of America like the Dust bowl, The Great Depression, and industrialism. The Grapes of Wrath was filmed in a journalistic-documentary style, which displayed the realism of the epidemic in the thirties. The thirties the period The Grapes
Sunday, December 15, 2019
The Different Motivational Theories Free Essays
This model, namely expectancy theory, suggests that individuals, acting through self-interest, adopt courses of action perceived as maximizing the probability of desirable outcomes for themselves. This desire to maximize self-interest provides aspiring leaders with unique opportunities to assume leadership roles by simultaneously meeting both follower needs and organizational requirements. We intend to explicitly link expectancy theory and leadership concepts to demonstrate that leader interactions with followers permit the establishment of highly motivational working environments. We will write a custom essay sample on The Different Motivational Theories or any similar topic only for you Order Now In so doing, individuals acquire the means to transcend their traditional roles of supervisor, manager, or follower, and realize their potentials as leaders. In order to remain competitive at home or within the global market, we must stop relegating in our minds the functions of leadership to the office of the president or CEO of the organization. Instead, we must come to view the leadership role as part of every employeeââ¬â¢s job, at all levels of the organization. (Isaac, Zerbe Pitt, 2001, p. 212) Since its origins in the 1960s Equity Theory held forth the promise of helping to explain how employees respond to situations in which they perceive they are being rewarded more or less favorably in comparison to a referent doing similar work. Shortly after its inception, Weick (1966) deemed it to be one of the most useful existing organizational behavior theories. Subsequent reviews concluded that the empirical evidence supporting Equity Theory was generally strong, especially with regards to how workers respond to under-reward situations. Equity Theory proposed that subjects respond to under-reward situations in various ways in an attempt to bring their equity ratio back into balance. For example, subjects may choose a behavioral response to help reduce their feelings of inequity. They may respond in such ways as reducing their inputs (i. e. , not put forth as much effort) or increasing their outcomes (i. e. , ask for a raise). Subjects may instead use a cognitive response to reduce feelings of inequity such as selecting another person to use as their referent. Ultimately the subject may choose to exit the situation by deciding to transfer or quit the organization. Allen White, 2002) Although previous Equity Theory research has concluded that under-rewarded subjects generally respond in a manner that is consistent with classic Equity Theory, it is not easy to predict which option they will select to bring their equity ratio into balance. This lack of specificity regarding what responses individuals experiencing inequity are likely to have is a serious shortcoming of the original Equity Theory. As such, the original Equity Theory eventually fell out of favor due in part to this inability to predict exactly how individuals would respond to an under-reward situation (e. . , lower their inputs, attempt to raise their outcomes, cognitively justifying the situation, decide to leave the organization). This lack of predictive ability of Equity Theory makes it much less useful to practitioners such as managers and human resource professionals who would greatly benefit if they could accurately predict the reactions that their employees would have to different inequitable situations. Accordingly, research on the topic of Equity Theory moved off in another direction. Inspired by legal research, the procedural justice stream of research began to focus more on the processes and procedures of how pay and recognition are determined, rather than the reactions that individuals have to them. Equity Theory research became less popular and eventually withered away. (Allen White, 2002) While changing organizational culture is not an easy process, it can be accomplished by emphasizing a commitment to the individual employee. Despite the literatureââ¬â¢s heavy emphasis on the private sector, many of the elements of Theory Z can be found in public organizations. This article describes one cityââ¬â¢s effort to change culture by emphasizing fair treatment of organizational members, employee involvement, two-way communication, employeesââ¬â¢ personal development and recognition and camaraderie. During the past decade, organizations in the American society have faced great uncertainty. The challenge of meeting the increasing competition of the Japanese and Western Europeans in the international marketplace, massive reordering of corporations through leveraged acquisitions and consolidations, and rapidly changing technology have impacted organizational life in the private sector. Public sector organizations have faced the effects of the new federalism, the Tax Reform Act of 1986, taxpayer revolts, and numerous other events and actions which have caused disruption. These demands on American organizations, especially those coming from foreign competition, have forced leaders to question their management abilities and their organizationsââ¬â¢ commitment to excel. As part of this introspection, an examination of the underlying values, beliefs, and attitudes of organizations has been undertaken, especially in the popular, non-academic literature (Watson Burkhalter, 1992) Job Design for service employees has been categorized as a ââ¬Å"production lineâ⬠approach or an ââ¬Å"empowermentâ⬠approach (Bowen Lawler, 1992). The production line approach, as its name implies, is based on a Tayloristic view. It is based on four tenets ââ¬â simple tasks, clear division of labor, substitution of equipment and systems for employees, and little decision-making discretion of employees. This design seeks to gain customer satisfaction through efficiency, consistency, and low costs. It is imperative with the production line job design that IT is installed as a part of that design so as to facilitate matching it to the service encounters anticipated. The number and nature of the options from which the employee chooses should then be limited to matching the constraints on their decision-making authority. Any access to additional information would not only be of no use; it would actually deter efficiency. For example, if all hamburgers are prepared to the same degree of doneness, giving a customer encounter person the option of asking a customer how he/she would like the meat cooked would slow down the process. In fast food, cash registers (which also communicate orders to the backroom) prompt order-takers through the decisions that are allowable. Thus, the more standardized the service the more easily circumscribed technologically it can be(5) because the reality of the encounter is simple and presumed to be more easily captured than encounters in which provided services are customized and the outcome of any one such encounter is variable. The more circumscribed technologically the service is, the more efficiently the service can be performed but the more dependent upon the circumscribing technology customer encounter service personnel become. Mechling Little, 2000, p. 65) The Two-factor Theory, or Motivation and Hygiene Theory, purports to differentiate between intrinsic and extrinsic aspects of the job. The authors referred to the intrinsic factors as content or motivators, and they include: achievement, advancement, the work itself, responsibility, and recognition. The extrinsic factors were referred to as hygiene has and included: company policy and administration, technical supervision, working conditions, salary, and interpersonal supervision. (Maidani, 1991) the applicability of Herzbergââ¬â¢s Two-factor Theory of job Satisfaction among public and private sector employees. The study, therefore was designed to investigate the job content (motivators or intrinsic) and job context (hygiene or extrinsic) factors contributing to job satisfaction among those employees. Furthermore, the study attempted to determine whether using this instrument would yield the same results as those of Herzberg et al. (1959) using the critical incidents techniques. Hypothesis 1 was supported. Significant differences were found due to the fact that the satisfied group values motivator significantly more than the dissatisfied group. A t-value of 1. 98 indicated that a significant difference existed between the two groups. Hypothesis 2 was not supported. No significant differences were found between the satisfied and dissatisfied employees relating to value placed on hygiene factors. Hypothesis 3 was not supported as no significant differences were found between private and public sector employees on the value placed on motivator factors. (Maidani, 1991) The expectancy theory ââ¬â formulated by Edward C Tolman in the 1930s ââ¬â (whereby behavior rests on the instinctive tendency for individuals to balance the value of expected benefits against the expenditure of energy) falls into the same ââ¬Ëstimulus-responseââ¬â¢ approach to motivation. It demonstrates that an individualââ¬â¢s strength of motivation can be affected by the expectations of outcomes from certain actions and further strengthened by the individuals preferred outcome, as demonstrated by Victor H. Vroom in the 1960s. Individuals are consciously self-interested in the outcomes of their actions. For example, a worker may put in extra time and effort to a project and expect to be paid more money. That is his desired reward and what he expects. If he does not receive, what he expects his motivational level will fall dramatically. Elton Mayo, in the Hawthorne experiments concluded that individuals adjusted their motivational levels to fit in with the group. The individual values the approval and acceptance of others and will conform to the groups motivational standards in order to ââ¬Ëfit inââ¬â¢. One important point about expectancy theory is that individual perceptions can be very different, and the motivation and behavior of individuals will vary considerably. It pays, therefore, in external stimuli to bear in mind that: 1. he routes to desired outcomes for individuals and teams are clear; and 2. individuals perceive the rewards or punishments in different ways according to their own values. There is a great need to treat people as individuals but as the 50:50 rule also indicates, other motivational factors should always be set in the context of the individualââ¬â¢s managed environment. Leaders have a vital role to play in creating a motivational environment in which their team members can excel by in turn using the motivation within themselves. To be able to do this, we as leaders need to begin by looking at ourselves and getting our contribution right before we can criticize others. (Thomas, 2004, p. 61) Process models are based on the important insight that responses to (persuasive) messages do not only take the form of controlled, capacity-intensive cognitive processes, or only the form of simple automatic processes involving little working memory. Message processing may be dominated by either form, or it may blend the two, depending on our ability and motivation to think about the substance of a message. Affective processes appear to (a) influence levels of motivation and ability to process in a thoughtful manner, (b) guide the retrieval of information from memory, and (c) provide cues to simple responses (Babrow, 1993, p. 111) Dialectical perspectives on communication also embody multiple- process theory. Of course, dialectical analyses of one sort or another have been discussed for centuries (see Adler, 1952). As numerous dialectical thinkers have pointed out, however, several themes are consistent in these writings; these themes exemplify some of the most desirable potentialities of multiple- process theory. The most elemental theme in dialectical thinking is that of opposition; ââ¬Å"dialectic either begins or ends with some sort of intellectual conflict, or develops and resolves around such oppositionsâ⬠( Adler, 1952 , p. 350). Dialectical opposites are ââ¬Å"mutually conditioningâ⬠(the occurrence, existence, or meaning of one pole is conditioned by its opposite) and at the same time ââ¬Å"mutually excludingâ⬠. For instance, sound presupposes but also excludes silence, and so too for amity and enmity, motion and stillness. (Babrow, 1993, p. 15) All of these theories thrive on the perception of the individual working to better themselves in some way. They differ in their methods, some look at how the individual will work for recognition, advancement, or just for encouragement. All of these methods are effective means of making individuals and groups work more efficiently. However, it is important to point out that each method does not work for the same situation. One must be able to differentiate between the theories in order to determine the best means. How to cite The Different Motivational Theories, Essay examples
Saturday, December 7, 2019
Status of Woman in Indian Society free essay sample
STATUS OF WOMEN IN THE PAST TO THE PRESENT Ancient India:- In ancient India, the women enjoyed equal status with men in all fields of life. Works by ancient Indian grammarians such as Patanjali and Katyayana suggest that women were educated in the early Vedic period. Rigvedic verses suggest that the women married at a mature age and were probably free to select their husband. Scriptures such as Rig Veda and Upanishads mention several women sages and seers, notably Gargi and Maitreyi. According to studies, women enjoyed equal status and rights during the early Vedic period. 14] However, later (approximately 500 B. C. ), the status of women began to decline with the Smritis (esp. Manusmriti) and with the Islamic invasion of Babur and the Mughal empire and later Christianity curtailing womens freedom and rights. Although reformatory movements such as Jainism allowed women to be admitted to the religious order, by and large, the women in India faced confinement and restrictions. We will write a custom essay sample on Status of Woman in Indian Society or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page The practice of child marriages is believed to have started from around sixth century. Medieval period The Indian womans position in the society further deteriorated during the medieval period when Sati among some communities, child marriages and a ban on widow remarriages became part of social life among some communities in India. The Muslim conquest in the Indian subcontinent brought the purdah practice in the Indian society. Among the Rajputs of Rajasthan, the Jauhar was practiced. In some parts of India, the Devadasis or the temple women were sexually exploited. Polygamy was widely practised especially among Hindu Kshatriya rulers. In spite of these conditions, some women excelled in the fields of politics, literature, education and religion. In South India, many women administered villages, towns, divisions and heralded social and religious institutions. The Bhakti movements tried to restore womens status and questioned some of the forms of oppression . Shortly after the Bhakti movement, Guru Nanak, the first Guru of Sikhs also preached the message of equality between men and women. Historical practices that hindered women empowerment such as sati, jauhar, and devadasi have been banned and are largely defunct in modern India. However, some cases of these practices are still found in remote parts of India. The purdah is still practised by Indian women among some communities, and child marriage remains prevalent despite it being an illegal practice. British rule European scholars observed in the 19th century that Hindu women are naturally chaste and more virtuous than other women. During the British Raj, many reformers such as Ram Mohan Roy, Ishwar Chandra Vidyasagar, Jyotirao Phule etc. fought for the upliftment of women. Peary Charan Sarkar, a former student of Hindu College, Calcutta and a member of Young Bengal set up the first free school for girls in India in 1847 in Barasat, a suburb of Calcutta Raja Rammohan Roys efforts led to the abolition of the Sati practice under Governor-General William Cavendish-Bentinck in 1829. Ishwar Chandra . Vidyasagars crusade for the improvement in condition of widows led to the Widow Remarriage Act In 1917, the first womens delegation met the Secretary of State to demand womens political rights, supported by the Indian National Congress. The All India Womens Education Conference was held in Pune in 1927. In 1929, the Child Marriage Restraint Act was passed, stipulating fourteen as the minimum age of marriage for a girl through the efforts of Mahomed Ali Jinnah. Though Mahatma Gandhi himself married at the age of thirteen, he later urged people to boycott child marriages and called upon the young men to marry the child widows. Women played an important part in Indias independence struggle. Independent India Women in India now participate in all activities such as education, sports, politics, media, art and culture, service sectors, science and technology, etc. Indira Gandhi, who served as Prime Minister of India for an aggregate period of fifteen years is the worlds longest serving woman Prime Minister The Constitution of India guarantees to all Indian women equality (Article 14), no discrimination by the State (Article 15(1)), equality of opportunity (Article 16), equal pay for equal work (Article 39(d)). In addition, it allows special provisions to be made by the State in favour of women and children (Article 15(3)), renounces practices derogatory to the dignity of women (Article 51(A) (e)), and also allows for provisions to be made by the State for securing just and humane conditions of work and for maternity relief. (Article 42). The feminist activism in India picked up momentum during later 1970s. Female activists united over issues such as female infanticide, gender bias, women health, and female literacy. Since alcoholism is often associated with violence against women in India, many women groups launched anti-liquor campaigns in Andhra Pradesh, Himachal Pradesh, Haryana, Orissa, Madhya Pradesh and other states. Many Indian Muslim women have questioned the fundamental leaders interpretation of womens rights under the Shariat law and have criticized the triple talaq system. In 1990s, grants from foreign donor agencies enabled the formation of new women-oriented NGOs. Self-help groups and NGOs such as Self Employed Womens Association (SEWA) have played a major role in womens rights in India. The Government of India declared 2001 as the Year of Womens Empowerment . The National Policy For The Empowerment Of Women came was passed in 2001. In 2010 March 9, one day after International Womens day, Rajyasabha passed Womens Reservation Bill, ensuring 33% reservation to women in Parliament and state legislative bodies. Women upliftment and empowerment inà Indiaà first received National and International recognition when the Indira Gandhiââ¬â¢s Government launched the Indira Mahila Yojana and when the United Nations Development Programme (UNDP) incorporated the issue of Women Upliftment as one of its primary objective. PRESENT SCENARIO: Even after fifty seven years of Indian independence, women are still one of the most powerless and marginalized sections of Indian society. The 2001 Census shows that the sex ratio for India is 933, which is lowest in the world. Percentage of female literacy is 54. 16 (2001 Census) against male literacy of 75. 85 per cent. In India, womens representation in Parliament and in the State Assemblies has never beyond 8 and 10 per cent respectively . Most of the working women remain outside the organised sector. A mere 2. per cent women are administrators and managers, 20. 5 per cent professional and the technical workers, all of whom collectively earn 25 per cent of the shared income. Violence against women is on the rise Women of India are relatively disempowered and they enjoy somewhat lower status than that of men in spite of many efforts undertaken by government. Gender gap exists regarding access to education and employment. Household decision making power and freed om of movement of women vary considerably with their age, education and employment status. Acceptance of unequal gender norms by women are still prevailing in the society. More than half of the women believe wife beating to be justified for one reason or the other. Fewer women have final say on how to spend their earnings. Control over cash earnings increases with age, education and with place of residence. Womenââ¬â¢s exposure to media is also less relative to men. Rural women are more prone to domestic violence than that of urban women. A large gender gap exists in political participation too. EMERGING ROLES
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