Thursday, November 28, 2019

How Juliet is presented in Act 1 Scene 5 in the play and in Baz Luhrmanns film version Essay Example

How Juliet is presented in Act 1 Scene 5 in the play and in Baz Luhrmanns film version Paper Juliet is presented very similarly in both the film and in the text version when comparing in Act 1 Scene 5. This is the scene where Romeo and Juliet first meet each other and immediately fall in love. Although their presentation is largely the same, there are some slight differences. Juliet’s first meeting with Romeo reveals a lot about their newfound love. In the play version, Juliet’s first interaction with Romeo is in the form of continuing a sonnet, like, â€Å"much†¦touch† â€Å"this†¦kiss†. This immediately shows how much they are in unison and in love, as they are seamlessly able to continue the pattern of each other’s words. In the film version, this relationship is emphasised when Juliet talks like this to Romeo while she is still standing next to Paris. This is to emphasise how they have never seen true love until this point, as even though in Act 1 Scene 3, a only a few hours before this point, she said she would â€Å"look to like Paris†. This demonstrates the idea of â€Å"love at first sight very clearly†, as even though she is standing next to the man she is supposed to be loving, she still takes time out to talk romantically to Romeo. Even before this point, however, their fight true sighting is through a fish tank. This fish tank is not totally clear, but the two can still see each other through it. This signifies the fact that their love will be pure, but may not be totally problem-free. This may be used as a technique to show Juliet and Romeo to be future-tellers and can almost see their demise, but will not respond to it because they are so infatuated with each other. Juliet’s reaction when she realises that Romeo is a Montague reveals a lot about her love for Romeo. We will write a custom essay sample on How Juliet is presented in Act 1 Scene 5 in the play and in Baz Luhrmanns film version specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on How Juliet is presented in Act 1 Scene 5 in the play and in Baz Luhrmanns film version specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on How Juliet is presented in Act 1 Scene 5 in the play and in Baz Luhrmanns film version specifically for you FOR ONLY $16.38 $13.9/page Hire Writer In the play, Juliet has a suspicion that Romeo is a Montague, so asks her Nurse to go and enquire about the identities of some of the men she sees. She is being very clever in the scene, asking the identity of a totally unrelated man before asking the Nurse to find out the identity of Romeo. This is used to deceive the Nurse, so she cannot get in the way of her love. This shows how obsessed she is with Romeo, as she is willing to lie to her childhood mother-figure in order to get to her love. This is not the same as in the film, as the Nurse will scold Juliet for kissing Romeo. In the play, Juliet is portrayed as braver, as she does not seek a private place to show her affection for Romeo. She risks revealing her true love because she cannot wait to stop and show his affection for him. This means that in both the film and the text version, she finds Romeo too interesting to think about anything else, so when she finds out that Romeo is a Montague, she finds it almost too difficult to bear. In both versions, she says â€Å"My only love sprung from my only hate. â€Å"Only love† signifies a very true sense of love, so in both versions, she is seen to be a character who either very easily falls in love, or finds true love in the play. Contextual changes have been made to the character of Juliet in the film compared to the play. In the play, love was often a very rushed, not thought about matter, and some couples did not even meet each other until their marriage day. This corresponds to the play, because as soon as they meet each other, they agree to kiss. However, in the modern day, love tends to be more thought about, and couples spend some time properly knowing each other before they marry. This corresponds to the film, as Romeo and Juliet meet one another through a fish tank before asking to kiss. This represents the considered approach to love today, so can be described as accurate to today’s world. Overall, Juliet is portrayed as a very similar character in both the film version and the play version, and there are only slight differences, like making her love public and also not deceiving her Nurse. To conclude, the play and the film are very similar in their views of Juliet, but the film, being visual, provides us with more clues about her true character.

Sunday, November 24, 2019

United States Presidential Pay and Compensation

United States Presidential Pay and Compensation Effective Jan. 1, 2001, the annual salary of the President of the United States was increased to $400,000 per year, including a $50,000 expense allowance, a  $100,000 nontaxable travel account, and a  $19,000 entertainment account.  The presidents salary is set by Congress, and under Article II, Section 1 of the United States Constitution, may not be increased or reduced during his or her current term of office. Chief Executive Salary The increase was approved as part of the Treasury and General Government Appropriations Act (Public Law 106-58), passed in the closing days of the 106th Congress. Sec. 644. (a) Increase in Annual Compensation.Section 102 of title 3, United States Code, is amended by striking $200,000 and inserting $400,000. (b) Effective Date.The amendment made by this section shall take effect at noon on January 20, 2001. Since initially being set at $25,000 in 1789, the president’s base salary has been increased on five occasions as follows: $50,000 on March 3, 1873$75,000 on March 4, 1909$100,000 on January 19, 1949$200,000 on January 20, 1969$400,000 on January 20, 2001 In his First Inaugural Address on April 30, 1789, President George Washington stated that he would not to accept any salary or other remuneration for serving as president.  To accepting his $25,000 salary, Washington stated, â€Å"I must decline as inapplicable to myself any share in the personal emoluments which may be indispensably included in a permanent provision for the executive department, and must accordingly pray that the pecuniary estimates for the station in which I am placed may during my continuance in it be limited to such actual expenditures as the public good may be thought to require.† In addition to a basic salary and expense accounts, the president also gets some other benefits. A Full-Time Dedicated Medical Team Since the American Revolution, the official physician to the president, as director of the White House Medical Unit created in 1945, has provided what the White House calls worldwide emergency action response and comprehensive medical care to the president, the vice president, and their families. Operating from an on-site clinic, the White House Medical Unit also attends to the medical needs of the White House staff and visitors. The official physician to the president  oversees a staff of three to five military physicians, nurses, medical assistants, and medics. The official physician and some members of his or her staff remain available to the president at all times, in the White House or during presidential trips. Presidential Retirement and Maintenance Under the Former Presidents Act, each former president is paid a lifetime, taxable pension that is equal to the annual rate of basic pay for the head of an executive federal department- $201,700  in 2015- the same annual salary paid to secretaries of the Cabinet agencies. In May 2015, Rep. Jason Chaffetz (R-Utah), introduced the Presidential Allowance Modernization Act, a bill that would have limited the lifetime pension paid to former presidents at $200,000 and removed the current link between presidential pensions and the salary paid to Cabinet secretaries. In addition, Sen. Chaffetz’s bill would have reduced the presidential pension by $1 for every dollar over $400,000 per year earned by former presidents from all sources. For example, under Chaffetz’s bill, former President Bill Clinton, who made almost $10 million from speaking fees and book royalties in 2014, would get no government pension or allowance at all. The bill was passed by the House on Jan. 11, 2016, and passed in the Senate on June 21, 2016. However, On July 22, 2016, President Obama vetoed the Presidential Allowance Modernization Act, telling Congress the bill â€Å"would impose onerous and unreasonable burdens on the offices of former presidents.† Help With Transition to Private Life Each former president and vice president may also take advantage of funds allocated by Congress to help facilitate their transition to private life. These funds are used to provide suitable office space, staff compensation, communications services, and printing and postage associated with the transition. As an example, Congress authorized a total of $1.5 million for the transition expenses of outgoing President George H.W. Bush and Vice President Dan Quayle. The Secret Service provides lifetime protection for former presidents who entered office before Jan. 1, 1997, and for their spouses. Surviving spouses of former presidents receive protection until remarriage. Legislation enacted in 1984 allows former Presidents or their dependents to decline Secret Service protection. Former Presidents and their spouses, widows, and minor children are entitled to treatment in military hospitals. Health care costs are billed to the individual at a rate established by the Office of Management and Budget (OMB). Former Presidents and their dependents may also enroll in private health plans at their own expense.

Thursday, November 21, 2019

Trace the development of language and gender research since the 1980s Essay

Trace the development of language and gender research since the 1980s. Taking one or two examples from research in the last ten years, explain what the priorities are now - Essay Example Gender differences stem from childhood and how boys and girls are treated differently. Baby girls are considered delicate and fragile and are therefore treated as such, being exposed to language that is gentle and handled with utmost care. On the other hand, boys, expected to grow up to be strong and masculine, are exposed to power-filled language punctuated with strong tones (Rasquinha & Mouly, 2005). This example reflects the Sociolinguistic Subculture Approach which suggests that that boys and girls grow up in essentially different talk subcultures resulting from the differing expectations parents and peers direct toward them about acceptable ways to talk (Maltz and Borker, 1982). Leaper (1991) explains that at three years of age, little girls develop earlier in terms of language and this helps them explore relationships with those around them. Girls use language that demonstrates attentiveness, responsiveness, and support. Boys, in turn, use language that demand attention, give o rders, and establish dominance (Leaper, 1991). They engage in group activities with other boys and test out their ‘high’ and ‘low’ status roles: â€Å"I’m the leader†, â€Å"you follow me†, etc. They establish positions among the group and they are apparently louder, more physical and less verbal than girls (Rasquinha & Mouly, 2005). By the age of 7, children have acquired gender constancy (Kohlberg & Zigler, 1967) and knowledge of gender-role stereotypes (Huston, 1983; Martin, 1989). As they transition to middle childhood, interaction strategies become more gender-differentiated. Whereas girls become more competent in collaborative strategies, boys stick to their reliance on domineering influence strategies. Bakan (1966) explained that boys are taught to value autonomy, competition and linear problem solving and such values are expressed by the encouragement of self-assertion and self-expansion (Mason, 1994). They grow up learning that information and

Wednesday, November 20, 2019

What caused the Great Sepoy Rebellion of 1857-8 Essay - 1

What caused the Great Sepoy Rebellion of 1857-8 - Essay Example The role of the Indian sepoys was a central one as without their initial rising, other classes would not have been able to initiate such a high level of revolt. The hatred of sepoys attracted all other classes as well and this in turn resulted in the great sepoy rebellion and one of the major rebellions in the history of India. It is often referred to as the first Indian nationalist uprising. Although people from all over India were involved, the major areas of rebellion included the Northern areas of India and Bengal. The Indian sepoys tried to popularize the event by asking the last Mughal emperor to re-establish the Mughal Empire. Through this, they did gain wider support; however, the emperor did not have much power left. Therefore, the revolt was not successful to be turned into a widespread national revolt as the British were able to control it to some extent. Although the rebellion started as a military cause, it took on hold as majority of Indians joined this to show their resentment against the British. After the Battle of Plassey in 1757, the British took hold of Bengal and took advantage by introducing reforms and policies against the peasants and traders. Along with this, other major causes including religious, political, social resulted in the great rebellion of 1857. The most important cause of this great rebellion included the growing resentment of the Indian sepoys towards their British masters. These sepoys were basically peasants and therefore, supported the farmer community of India at that time. Therefore, the adverse policies of the British government for the agricultural sector greatly affected the feelings of the sepoys as well as they could relate to the actual feelings of the farmer community. Secondly, these sepoys were greatly dissatisfied with the discriminatory promotion and payment policies. The European soldiers were paid more salary although the majority chunk of the work was done by the

Sunday, November 17, 2019

World War I Essay Example | Topics and Well Written Essays - 500 words

World War I - Essay Example Through conscientious study of the events depicting imperialism, militarism, nationalism, the immediate cause, as well as the underlying intricacies of the alliances formed, threatening unrest to all other nations, I would attempt to figure justification for the next plan of action. Having found that the aforementioned grounds are ceaseless and bearing impact on a global scale, marching out to join and support the Allies must then prove reasonable. Participating in warfare does not have to mean exhibiting competitiveness yet as a measure to suppress the imperialists along with the height of their militaristic principle, it becomes necessary to demonstrate that emergence of power via American forces in addition to the Allies in defense is likely to intimidate the enemy. In the hope of possibly exhausting the enemies with the idea that endless wars are futile and would only yield to further damages regardless of any projected goal to gain advantage by the opposing parties, combat ought to proceed. As a U.S. president, I understand that I have sworn a delicate responsibility to protect my nation. With the prevailing world crisis, however, accepting the armed challenge to fight in the battlefield is rather an innovation than a mere act of impulse to help others subdue the enemy and fulfill the common objective of world peace. At this point, to me the presence of U.S. troops overseas, expressing the motive to cooperate with the armed men of the allied nations is a response of envisioning a kind of renewed life for the Americans where, after all the military and political hostilities, living exists with the desired quality of peace and economy. By engaging in the war, Americans can be accustomed to dealing with violent encounters which would serve as tests to strengthen individual courage or make resolute the overall character of American citizenry. In time, once the joint forces with the European ‘Allies’ consisting of France, Russia, Britain, and Serbia

Friday, November 15, 2019

The comfort women

The comfort women The comfort women issue has been a controversial topic since December 1991, where Kim Hak-sun and several other Korean women came forward in a lawsuit against the Japanese government demanding reparation as former â€Å"comfort women.†[1] Undoubtedly, there is an abundance of literature concerning the issue from both Japanese and American scholars. In addition, the media illustrates many different positions that have been and are still argued today. Yuki Tanaka, however, provides an interesting analysis of Japans comfort system in his book, Japans Comfort Women: Sexual slavery and prostitution during World War II and the US Occupation. He begins on a personal note concerning his father and uncles being part of the Kwantung Army; one of many groups who participated in the comfort system. Tanaka suggests that the Japanese soldiers were not â€Å"monsters† but average and banal human beings whose participation was a â€Å"personal choice,† not a mass conspiracy of evil.[2] In essence, Yuki Tanakas book provides a sound examination of the origins and structure of the comfort system during World War II, as well as its further establishment for the Allies during the US occupation. However, Tanaka neglects the issue of â€Å"slavery† and overemphasizes the issue of â€Å"sex† within the comfort women system. While this is not to say that he fails to acknowledge the slavery issue, his book is driven towards the universal connection between war and sex, in relation to his focus on the ideologies of masculinity and dominance as sole grounds for the brutality against comfort women in Japan and later on in the expanse of Asia. In this review, I examine Tanakas approach on the comfort women issue by evaluating how his literature is structured. I also examine his literatures dependency on the aspects of dominance, masculinity and sex during the wartime as reasoning for his chosen direction on the comfort women issue. Lastly, I examine Tanakas use of terminology throughout his book and determine whether his chosen terminology indicates a trivial bias or an unconscious effort to categorize the differing levels of brutality in which the Japanese military and the Allied occupation forces exploit comfort women. Tanakas motivation to further investigate the comfort women issue stems from the continued silence from his father and uncles concerning certain Japanese war experiences. He suggests that he learned about his fathers wartime experiences through a historical filter, which is often a common practice with history-telling. Tanaka states that the silence warrants a further examination of the history of Japanese prostitution, as well as the practice of wartime prostitution by other nations, specifically the US and Australia.[3] Although Tanaka does not excuse what Japan did to women during World War II, he explains that it was â€Å"part of a pervasive pattern of worldwide male aggression and domination.†[4] Ultimately, Tanaka universalizes certain aspects of Japans military prostitution and the institution of the comfort system. This provides an interesting and rational approach to the issue, since deeming the comfort system as an isolated incident would be careless and ignorant. Tanaka structures his book into six chapters: the origins of the comfort women system, procurement of comfort women and their lives as sexual slaves, comfort women in the Dutch East Indies, why the US forces ignored the comfort women issue, sexual violence committed by the Allied occupation forces, and Japanese comfort women for the Allied occupation forces. In chapter one, he provides a detailed illustration of the how the comfort system started and how it grew from mass recruitment, coercion, abduction and transaction. Tanaka specifically relates the structure of the comfort system to the karayuki-san system of overseas prostitution. He highlights the progressive nature of the Japanese military prostitution system of using professional Japanese prostitutes to using Korean women in the comfort stations. In chapter two, Tanaka examines the significant emergence of Korean women in comfort stations during Japans colonization of Korea. While most literature concerning the comfort women issue focus on the exploitation of Korean women, Tanaka analyzes the circumstances pertaining to the use of Korean women as the main source for the comfort system. To enhance this aspect, he uses testimonies from Korean, Chinese, Taiwanese and Filipino comfort women victims to emphasize the drastic expansion of the system from China and the Shanghai Incident in 1932, to the entire Asia-Pacific zone after Japans attack on Pearl Harbor.[5] In chapters three and four, Tanakas focus turns away from the Asian community and towards the international community to examine common characteristics of military prostitution between the Japanese military and the Allied occupation forces.[6] Tanaka first examines the Dutch, Eurasian and Indonesian comfort women in the Dutch East Indies, where the Dutch military prosecute the Japanese military for crimes against the Dutch women, but not for the Asian women situated in the Dutch East Indies.[7] The issue of race is a significant aspect to how the comfort system is structured, as well as how the US and other Allied occupation forces fail to prosecute the Japanese military for crimes against humanity for all comfort women victims. Tanaka highlights the aspect of racial discrimination to place responsibility on the Allied forces for exacerbating the issue by failing to take action against the Japanese military. He also examines how the US occupation forces, along with the British and Au stralian troops, maintained similar policies of â€Å"military-controlled prostitution†[8] as the Japanese military. In addition, Tanaka raises important questions pertaining to whether these policies are still a common practice in contemporary military forces, and whether this issue is â€Å"integral to the relationship between war and sexuality.†[9] Tanakas approach to the comfort women issue takes on a broader focus, which encompasses other nations as active participants in their acts of brutality against comfort women. In chapter five, Tanaka uses a wide variety of Japanese and American documents to examine the true nature of the Allied forces military-controlled prostitution and the extent of the violence and rape suffered by women. With this chapter, Tanaka aims to bring the problematic relationship between war and sexuality into the spotlight of the comfort women issue. In chapter six, Tanaka establishes that the characteristics of the wartime comfort system were similar to the Recreation and Amusement Association (RAA) established specifically for the Allied occupation forces. He maintains that the RAA was a less brutal establishment of military prostitution than that of the Japanese wartime comfort system. However, historian Bob T. Wakabayashi argues that â€Å"[i]f the Allies sexual exploitation of women was less brutal, then, this was largely because it was more lucrative for the women.†[10] Throughout the book, Tanaka emphasizes the problem of venereal disease, which only increased a s the comfort system expanded. While policies were implemented to prevent the spread of venereal diseases, none of the implemented polices attempted to discontinue the system. This, Tanaka suggests, shows how the preventive policies only increased venereal disease because soldiers were working around the policies to find other ways to meet with prostitutes. By examining how Tanaka structures his book, his approach on the comfort women issue suggests that he believes the role of the Allied occupation forces in the comfort system is explained by the ideological relationship between war and sexuality. Tanakas approach to the comfort women issue is defined by his books dependency on the aspects of dominance, masculinity and sex during wartime. He uses these aspects to universalize characteristics of the comfort system as an example of the relationship between war and sex. In addition, Joy Damousi also suggests that Tanaka views â€Å"racism and nationalism [as] interrelated within the ideology of masculinity †¦ [where] sexual abuse of women symbolized the dominance of the conquerors.†[11] Wakabayashi, however, argues that Tanaka purposefully shifts the issues focus from Korea to the Asia-Pacific zone to look for â€Å"charges of criminality† from international law rather than domestic law.[12] Tanaka addresses the parallel between the violation of the womans body and the domination over the enemy on the battlefield. He states that the brothels and prostitutes were used because soldiers believed that women were there to help the soldiers who fought to protect the ir country.[13] This type of reasoning indicates that the soldiers saw their relations with comfort women as a transaction of returned favors. Tanaka states that the soldiers mindset stems from aspects of dominance and masculinity enforced in preparation for the war. Tanaka also theorizes that sexual activity, especially during wartimes, provides an escape from reality, similar to the effects of alcohol.[14] Ultimately, it is used as a weapon against death. In relation to war, violence is needed when fighting wars, which translates into violence against women, in this case against comfort women. Physical domination over women, especially women of the enemy, translates into the humiliation of the enemy.[15] This type of war mentality is very common, not just with the Japanese military, but with the Allied occupation forces as well. Wakabayashi, thus, questions why Japan is the only country under litigation if other Allied occupation forces from the US and Australia also played a role in exacerbating the comfort system. A. Hamish Ion disagrees with Wakabayashis assessment and states that while the Allied occupation forces behavior was cruel, it â€Å"does not equate with that of the wartime Japanese military.†[16] Ultimately, the sexual abu se of women is inevitable during wartime because soldiers are trained to exude masculinity and dominance, which Tanaka explains is the â€Å"military culture of sexualized masculinity, a phenomenon common to military organizations regardless of nationality.†[17] Tanaka provides an interesting comparison between war and sexuality in relation to how this ideological relationship shaped the comfort system during World War II and into the US occupation. While Tanaka gives the impression that he believes the Allied occupation forces played a significant role in exploiting Asian women, he reasons that it was less brutal than the exploitation suffered during the wartime. Wakabayashi argues that Tanaka shifts the focus of the comfort system towards the Asia-Pacific zone for the purpose of using international law to evaluate the Japanese military. However, one must acknowledge that Tanakas shift in focus also emphasizes sexuality and its effect on war. For this reason, he concludes the use of sex was a main factor in sustaining military discipline.[18] Tanakas use of terminology throughout his book also factors into how he illustrates the comfort women issue. From examining his term use, the reader can question whether his literature depicts a bias or merely an effort to distinguish the severity of Japans military prostitution and the Allied occupation forces exploitation of women. Throughout his book, Tanaka does not use the term â€Å"coerced† like many other authors do in their literature. Instead, he consistently uses the terms â€Å"forced† and â€Å"recruit† in reference to how comfort women were procured. This is especially pronounced in chapter two: procurement of comfort women and their lives as sexual slaves, where Tanaka examines the circumstances of Chinese and Filipino comfort women. Often times, the Japanese military did not have to conceal how they were treating civilians.[19] In this case, using the term â€Å"coerced† implies bullying and intimidation, while using the term â€Å"forced † implies an outright proactive recruitment. In addition, Prime Minister Shinzo Abes definition of â€Å"coercion† states that â€Å"government authorities [were] breaking into private homes and taking [women] like kidnappers,†[20] which proves to be a fitting definition in the procurement of Chinese and Filipino comfort women. Tanaka also uses the term â€Å"procure† as a more general reference to how the Japanese military were obtaining and acquiring women for the comfort system. The overall use of this term encompasses terms such as â€Å"coercing,† â€Å"forcing† and â€Å"recruiting† in relation to the comfort system because it only specifies that the women were obtained, not the method in which they were obtained. Wakabayashi also hints at Tanakas â€Å"slight bias† when referring to â€Å"sexual slavery† for Japan and â€Å"military-controlled† prostitution for the Allied forces.[21] Ultimately, Wakabayashi feels that Tanaka â€Å"downplays Western military sexual violence†[22] because he categorizes Japan and the Allies role in the exploitation of women differently. Wakabayashi also accuses Tanaka of being hypocritical because Tanaka states in his introduction that he means no offence by using terms such as â€Å"comfort women† and â€Å"comfort stations† in his literature, which he describes as â€Å"cruel euphemisms.†[23] In addition, Wakabayashi is bothered by Tanakas use of the acronym â€Å"RAA† to refer to the â€Å"Recreation and Amusement Association† established specifically for the Allied occupation forces. However, it can be argued that Tanaka uses acronyms throughout his book, including the terms General Head Quarter s (GHQ), venereal disease (VD) and Government Issue (GI). His use of acronyms could either mean he is attempting to save the reader from repeatedly reading â€Å"venereal disease† numerous times, or that he is trying to downplay the Allies involvement in the exploitation because most of his acronym usage is located in the chapters focused on the Allies. It is not difficult to see why Tanaka downplays the Allied occupation forces involvement, especially when he refers to terms such as â€Å"prostitution† and â€Å"sexual slavery.† In this case, prostitution implies â€Å"payment of sexual union.†[24] Tanaka provides a brief examination of the structure of a comfort establishment by the Recreation and Amusement Association (RAA). The GI is to pay at the front desk and pick up a ticket and a condom before meeting with the comfort woman. In the morning, the comfort woman goes to the front desk to claim half of the money paid. Therefore, one could agree with Tanaka and argue that the RAA and the Allied occupation forces were not as brutal in their exploitation, which is why only Japan is involved in litigation concerning the comfort women issue. By examining Tanakas terminology throughout his book, one can establish that his use of certain terms indicates a bias, but not an unexamined one. His chosen terminology als o emphasizes the sexuality aspect of war and its effect on how both Japanese and Allied troops influenced the comfort system. This review centers around the argument that Yuki Tanaka overemphasizes the aspect of â€Å"sex† and not enough on the aspect of â€Å"slavery.† This is because Tanakas approach on the comfort women issue is dependent upon the relationship between war and sex. This relationship implies a universality of certain characteristics of the comfort system or at least characteristics of military prostitution exploited by all nations. By examining the structure of his book and the terminology he uses, one can identify that Tanaka aims to investigate certain war experiences that the older generation of World War II, from Japan, the US and Australia, maintained silence about. In essence, Tanaka relies heavily on the aspect of â€Å"sex† where A. Hamish Ion also points out, â€Å"the issue at heart is not sex but slavery.†[25] Tanakas book provides an interesting yet reasonable approach to the comfort women issue. He manages to examine different sources from the Japanese Archives, the Australian National Archives and War Memorial, as well as the US National Archives, which allowed him to map out patterns and continuities between military prostitution and war mentality. He provides many primary documents throughout his book, including comfort women and military officials testimonies, witness reports, statistical data as well as photographs. He attributes most of this research to his fourth and fifth chapters, which would have turned out differently had he not visited the US National Archives. Tanakas book not only provides insight to the origins and structure of the comfort system during World War II, but also establishes the Allied occupation forces as a major contributor for the silence maintained concerning the comfort women issue. Therefore from this abundance of information Tanaka provides, one can co nclude that the established silence on the issue was not for the lack of resources, but because literature has over-examined different aspects of the same angle. [1] I use the term â€Å"comfort women† without quotation marks throughout the review to stay consistent with the authors use of the term in his book. [2] Yuki Tanaka, Japans Comfort Women: Sexual slavery and prostitution during World War II and the US Occupation (New York: Routledge, 2002) 3-4. [3] Tanaka, Japans Comfort Women, 2. [4] Tanaka, Japans Comfort Women, (Forward) xvi. [5] Tanaka, Japans Comfort Women, 5. [6] Raymond Lamont-Brown, â€Å"Sex Slaves for the Emperor,† Contemporary Review 281, no. 1640 (2002), http://find.galegroup.com.ezproxy.library.yorku.ca/gtx/start.do?prodId=EAIMuserGroupName=yorku_main, 181. [7] Tanaka, Japans Comfort Women, 78. [8] Tanaka, Japans Comfort Women, 92. [9] Tanaka, Japans Comfort Women, 6. [10] Bob Tadashi Wakabayashi, â€Å"Review: Comfort Women: Beyond Litigious Feminism,† Monumenta Nipponica 58, no. 2 (2003), http://www.jstor.org/stable/25066215, 245. [11] Joy Damousi, â€Å"Review: [untitled],† The American Historical Review 108, no. 4 (2003), http://www.jstor.org/stable/3523712, 1122. [12] Wakabayashi, â€Å"Beyond Litigious Feminism,† 249. [13] Tanaka, Japans Comfort Women, 87. [14] Tanaka, Japans Comfort Women, 174. [15] Tanaka, Japans Comfort Women, 176. [16] A. Hamish Ion, â€Å"Review: [untitled],† The International History Review 23, no. 2 (2003), http://www.jstor.org/stable/40109381, 475. [17] Tanaka, Japans Comfort Women, 179. [18] Damousi, â€Å"Review,† 1122. [19] Tanaka, Japans Comfort Women, 48. [20] Hirofumi Hayashi, â€Å"Disputes in Japan over the Japanese Military â€Å"Comfort Women† System and its Perception in History,† The ANNALS of the American Academy of Political and Social Science 617 (2008), http://find.galegroup.com.ezproxy.library.yorku.ca/gtx/start.do?prodId=EAIMuserGroupName=yorku_main, 124. [21] Wakabayashi, â€Å"Beyond Litigious Feminism,† 243. [22] Wakabayashi, â€Å"Beyond Litigious Feminism,† 243. [23] Wakabayashi, â€Å"Beyond Litigious Feminism,† 244. [24] Sarah Soh, â€Å"From Imperial Gifts to Sex Slaves: Theorizing Symbolic Representations of the ‘Comfort Women,† Social Science Japan Journal 3, no. 1 (2000), http://scholarsportal.info.ezproxy.library.yorku.ca/, 65. [25] Ion, â€Å"Review,† 474.

Wednesday, November 13, 2019

Art Theft Essay -- Thieves Arts Stealing History Essays

Art Theft Of the many crimes that are present in this day and age, one that not only vandalizes the property, but as well as historical background is that of art theft. A crime that has taken away the sanctity of churches as well as many other religious and historical sites. Thefts have ranged from WWII (World War II) to the times of the Holocaust. Of the items that were taken from the churches, relics were items of great priority. These items not only had great value to the churches they were stolen from, but a great value to relic collectors. Most of the items taking during these times were either sold or placed in underground storage. Most of these items that were place in these secret places were never to be seen again. From the times of these so called â€Å"relic hunters† to now, art theft has become something that has taken some extreme changes. It has evolved from crime that started with minor relic thefts to something that has become a worldwide crime in need of better preventi on. Art theft is a crime that has been on the rise for the last half of this century. â€Å"According to law enforcement officials, art theft now ranks second only to drugs as the world’s most lucrative illegal activity.† (Journal of Commerce) Whether bought, created, or stolen, art has become something that is of great demand. â€Å"Art theft has flourished as never before. Just keeping up with the number of stolen objects and their total value is a big-time guessing game.† (Dudar) This is a problem that not only faces us as art owners and collectors, but museums and auction houses as well. Everyone possessing a piece of artwork is at risk of art theft. This artwork doesn’t have to be anything out of the ordinary to be a target. Along with famous paintings, sculptures, and other types of artwork, many insignificant or unrecognized pieces of artwork are being stolen too. â€Å"Most thefts appear to be the work of thieves without serious art education. Along w ith the good stuff, they are apt to sweep up junk – those sappy gift-shop paintings of kids with enormous eyes, for example, which no serious collector would covet.† (Lowenthal) On the other hand some of these thefts are being done by some of the best in the business. â€Å"Some thieves have turned out to be professionals who, following fashion, switched from robbing video stores to burgling art. Some are actually specialists in vehicle t... ... that has been reported either stolen or missing. This not only aids law enforcement, but museums, auction houses, and buyer/collectors. â€Å"The Art Loss Register database holds numerous is losses looted from public and private collections between 1933 and 1945 and additional missing artworks for free.† (Schillingford) Art theft is a crime on the rise, but with the use of these foundations and the methods that are being used by museum security managers it is slowing declining. Art theft is something that because of system and human flaws will never be successfully prevented. It can however, be something that is so hard to do that a lack of interest will remain. The only way to successfully prevent art theft is to not own any at all. Works Cited Attrino, Tony. â€Å"Insurers Get Help In Tracking Stolen Art.† National Underwriter Property & Casualty-Risk & Benefits Management. Aug. 17, 1998. Vol. 102. N. 33. Pg. 45 (1). Burrows, Robin. â€Å"Artful Protection from Down Under.† Museum Security. Feb. 1992. Pg. 34, 37-8. Dudar, Helen. â€Å"Making a dent in the trafficking of stolen art.† Smithsonian. Sept. 1995. Vol. 26. N. 6. Pg. 34 (7). Journal of Commerce. Dec. 11, 1990.

Sunday, November 10, 2019

Industrial Location Model by Phunziro Mphwina

A TOPIC REVIEW ON INDUSTRIAL LOCATION MODEL BY ALFRED WEBER. Geography despite being defined as a science it has a vast area of concern, whereby some of these areas touch the economic grounds a field which others identify not as a science. In geography Spatial science is the field that holds some of the economic aspects this is so as it looks at the economic functions of space. Krugman (1991:p6) defines spatial science as a geographical science that is concerned with the organization of things according to space.This is to say that the arrangement and distribution of things in line with space has a lot of effect on the efficiency of other economic processes. This led to the development of Alfred Weber’s â€Å"Industrial location model† in 1901 (McCann & Shaffer, 2004: p8). Where by Weber argued that the location of an industrial plant is determined the factors of transport costs, labor costs and agglomeration (Barnes, 1984: p1).This is the model which this essay intends to make a review on. |Adopting some of Weber’s factors as basis of their arguments Christaller and Losch thus the Central place theory and Von Thunen’s land use theory these theorists argued in similar vain as Weber. Weber assumed that there is an uneven distribution of natural resources. Thus raw materials are in not equal existence elsewhere, (Bradford & Kent, 1977: p43).Lokman (2003: p1) justifies Weber’s factor of resource distribution by relating it to one of Christaller’s assumptions that there is a homogeneous disperse of resources where he says one would choose to place his industry at location A which is 3 kilometers away from the market or location B which lies 5 kilometers away from the markets. Since there is an even existence of resources people would not be limited by resource availability an assumption which is very unreal.Weber disagrees to such a presupposition by bringing in reality where he says there is an uneven distribution of mater ial thus raw materials, fuel, and water needed for industrial production may be found only in particular locations. Consequently people would prefer to locate to the areas close both to the market and resources in order to minimize transport costs. Thereby distribution of raw material determining the location of an industry. Weber also continued to assume that the size and location of centers of consumption of the industrial products are given.This means that producers cover different sizes of land for their Industrial activities. This determines the location of the industry in that land as we enclose the market place tends to be costly this is so as it is more expensive because the producer would have low transport costs but pay high rent compared to other’s who located away from the market place but cover huge land that would let them cover up for the transport costs. (Barnes, 1984: p16) This assumption differs from that of Christaller and Von Thunen which assumes that ther e is an isotropic (all flat) surface. Therefore difference in land size determining location of an industry.In terms of labor Weber assumed that there are several fixed locations of labor where given rates operate, this is to say labor is immobile and unlimited at these locations (Bradford & Kent, 1977: p43). This is to say that since there area differences in distribution of raw materials which is one of the determining factors in the location of the industry. This means some locations could have increased access to labor and this means there would be law labor costs at such places other than in location that have low labor experiences whereby those employed would have to work extra hours which would result into extra labor costs.Therefore access to labor determining industry location. Despite the fact that most of Weber’s assumptions deviate from the Christaller and Thunen’s, he agrees with both of the, on the idea that all entrepreneurs work on minimizing the cost o f production and maximize their profits. (Calvert, 2010: p 45) describes some of the ways that these entrepreneurs adopt in order to elevate their profits. One of the ways is by investing in fields that are not faces with harsh government policies that lead to losses, the other solution to these losses is by going by transport systems that are cheap and efficient.In contrast Weber identified the three general regional factors that affect the costs of production namely, cost of raw materials, cost of transporting the raw materials and the cost of labor. These have been advanced by the assumptions. In terms of raw material cost Weber argues that raw material value determines their cost thus there are other material which are hard to get (Bradford & Kent, 1977: p43) give an example of mines where cost of mining some of the minerals outwits the cost of selling the minerals themselves, they also say these variations in mining difficulties prompts the reflection based on the transport and labor costs.Weber on the other hand identified agglomeration which is the effect produced when two different firms operate in the same area and tend to pull losses against each other. This is an economic situation where individual firms would suffer great losses for similar services. Weber suggests that these two firms can work hand in hand and access the desired services at a lower cost. This determines the location of an industry in that, one would choose a location where he will be able to link with other firms in order to access services at a more reasonable cost other than working individually (McCann & Shaffer, 2004: p10).Revisiting the cost of transporting the raw materials Weber differentiated two different types of raw material. He specifically explained that there are other materials that are used to the fullest thus upon extraction and processing there is a reasonable mass that is lost other than that which remains for full use. This means that the unneeded mass that as transported along with the end product just added extra costs other than the cost for transporting the real raw material. For example a company transports 5 kilos of iron ore for K2000.The ore from which 2 kilos is going to be extracted from, this is to say 3 kilos will be taken as wastes thus cost approximately K1000 which is a loss. This can be modified by adopting a different transporting system or changing the investment field. All in all Weber’s model though it was developed in the old days when technology had not fully sprouted it serves a great deal to the economic world, under the factors that have been discussed above. REFERENCES Bradford M. G. & Kent W. A (1977) Human geography theories and other applications Vol. 5 of Science in Geography, United Kingdom; Oxford University press.Barnes T. J. (1984) The place of locational analysis: a selective and interpretive history. Canada; University of British Columbia. Calvert L. (2012) Nature’s metropolis: The ghost d ance of Christaller and Von Thunen. PDF. Krugman P. (1991) Urban concentration: The role of increasing returns and transport costs. International Regional Science Review 19 Lokman O. (2003) Criticism on Christaller: PDF McCann P. & Shafer D. (2004) Regional Science: Location, agglomeration and infrastructure. United Kingdom; University of Reading press. ————————————————- CATHOLIC UNIVERSITY OF MALAWI ———————————————— ————————————————- FACULTY OF EDUCATION ————————————————- ———————— Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€- DEPARTMENT OF GEOGRAPHY ————————————————- COURSE TITLE. ————————————————- SPATIAL ORGANISATION ————————————————- COURSE CODE ————————————————- GEO 2203 ————————————————- ————————————————-TO —————————â₠¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€- Mr. GONDWE ————————————————- FROM ————————————————- PHUNZIRO B. M. MPHWINA, BAED 15/02/11 ————————————————- ASSIGNMENT 1 ————————————————- ————————————————- ASSIGNMENT TITLE ————————————————- CHAPTER REVIEW ON INDUSTRIAL LOCATION MODEL. ————â €”———————————- ————————————————- DUE DATE: 19/04/12 Industrial Location Model by Phunziro Mphwina A TOPIC REVIEW ON INDUSTRIAL LOCATION MODEL BY ALFRED WEBER. Geography despite being defined as a science it has a vast area of concern, whereby some of these areas touch the economic grounds a field which others identify not as a science. In geography Spatial science is the field that holds some of the economic aspects this is so as it looks at the economic functions of space. Krugman (1991:p6) defines spatial science as a geographical science that is concerned with the organization of things according to space.This is to say that the arrangement and distribution of things in line with space has a lot of effect on the efficiency of other economic processes. This led to the development of Alfred Weber’s â€Å"Industrial location model† in 1901 (McCann & Shaffer, 2004: p8). Where by Weber argued that the location of an industrial plant is determined the factors of transport costs, labor costs and agglomeration (Barnes, 1984: p1).This is the model which this essay intends to make a review on. |Adopting some of Weber’s factors as basis of their arguments Christaller and Losch thus the Central place theory and Von Thunen’s land use theory these theorists argued in similar vain as Weber. Weber assumed that there is an uneven distribution of natural resources. Thus raw materials are in not equal existence elsewhere, (Bradford & Kent, 1977: p43).Lokman (2003: p1) justifies Weber’s factor of resource distribution by relating it to one of Christaller’s assumptions that there is a homogeneous disperse of resources where he says one would choose to place his industry at location A which is 3 kilometers away from the market or location B which lies 5 kilometers away from the markets. Since there is an even existence of resources people would not be limited by resource availability an assumption which is very unreal.Weber disagrees to such a presupposition by bringing in reality where he says there is an uneven distribution of mater ial thus raw materials, fuel, and water needed for industrial production may be found only in particular locations. Consequently people would prefer to locate to the areas close both to the market and resources in order to minimize transport costs. Thereby distribution of raw material determining the location of an industry. Weber also continued to assume that the size and location of centers of consumption of the industrial products are given.This means that producers cover different sizes of land for their Industrial activities. This determines the location of the industry in that land as we enclose the market place tends to be costly this is so as it is more expensive because the producer would have low transport costs but pay high rent compared to other’s who located away from the market place but cover huge land that would let them cover up for the transport costs. (Barnes, 1984: p16) This assumption differs from that of Christaller and Von Thunen which assumes that ther e is an isotropic (all flat) surface. Therefore difference in land size determining location of an industry.In terms of labor Weber assumed that there are several fixed locations of labor where given rates operate, this is to say labor is immobile and unlimited at these locations (Bradford & Kent, 1977: p43). This is to say that since there area differences in distribution of raw materials which is one of the determining factors in the location of the industry. This means some locations could have increased access to labor and this means there would be law labor costs at such places other than in location that have low labor experiences whereby those employed would have to work extra hours which would result into extra labor costs.Therefore access to labor determining industry location. Despite the fact that most of Weber’s assumptions deviate from the Christaller and Thunen’s, he agrees with both of the, on the idea that all entrepreneurs work on minimizing the cost o f production and maximize their profits. (Calvert, 2010: p 45) describes some of the ways that these entrepreneurs adopt in order to elevate their profits. One of the ways is by investing in fields that are not faces with harsh government policies that lead to losses, the other solution to these losses is by going by transport systems that are cheap and efficient.In contrast Weber identified the three general regional factors that affect the costs of production namely, cost of raw materials, cost of transporting the raw materials and the cost of labor. These have been advanced by the assumptions. In terms of raw material cost Weber argues that raw material value determines their cost thus there are other material which are hard to get (Bradford & Kent, 1977: p43) give an example of mines where cost of mining some of the minerals outwits the cost of selling the minerals themselves, they also say these variations in mining difficulties prompts the reflection based on the transport and labor costs.Weber on the other hand identified agglomeration which is the effect produced when two different firms operate in the same area and tend to pull losses against each other. This is an economic situation where individual firms would suffer great losses for similar services. Weber suggests that these two firms can work hand in hand and access the desired services at a lower cost. This determines the location of an industry in that, one would choose a location where he will be able to link with other firms in order to access services at a more reasonable cost other than working individually (McCann & Shaffer, 2004: p10).Revisiting the cost of transporting the raw materials Weber differentiated two different types of raw material. He specifically explained that there are other materials that are used to the fullest thus upon extraction and processing there is a reasonable mass that is lost other than that which remains for full use. This means that the unneeded mass that as transported along with the end product just added extra costs other than the cost for transporting the real raw material. For example a company transports 5 kilos of iron ore for K2000.The ore from which 2 kilos is going to be extracted from, this is to say 3 kilos will be taken as wastes thus cost approximately K1000 which is a loss. This can be modified by adopting a different transporting system or changing the investment field. All in all Weber’s model though it was developed in the old days when technology had not fully sprouted it serves a great deal to the economic world, under the factors that have been discussed above. REFERENCES Bradford M. G. & Kent W. A (1977) Human geography theories and other applications Vol. 5 of Science in Geography, United Kingdom; Oxford University press.Barnes T. J. (1984) The place of locational analysis: a selective and interpretive history. Canada; University of British Columbia. Calvert L. (2012) Nature’s metropolis: The ghost d ance of Christaller and Von Thunen. PDF. Krugman P. (1991) Urban concentration: The role of increasing returns and transport costs. International Regional Science Review 19 Lokman O. (2003) Criticism on Christaller: PDF McCann P. & Shafer D. (2004) Regional Science: Location, agglomeration and infrastructure. United Kingdom; University of Reading press. ————————————————- CATHOLIC UNIVERSITY OF MALAWI ———————————————— ————————————————- FACULTY OF EDUCATION ————————————————- ———————— Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€- DEPARTMENT OF GEOGRAPHY ————————————————- COURSE TITLE. ————————————————- SPATIAL ORGANISATION ————————————————- COURSE CODE ————————————————- GEO 2203 ————————————————- ————————————————-TO —————————â₠¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€Ã¢â‚¬â€- Mr. GONDWE ————————————————- FROM ————————————————- PHUNZIRO B. M. MPHWINA, BAED 15/02/11 ————————————————- ASSIGNMENT 1 ————————————————- ————————————————- ASSIGNMENT TITLE ————————————————- CHAPTER REVIEW ON INDUSTRIAL LOCATION MODEL. ————â €”———————————- ————————————————- DUE DATE: 19/04/12

Friday, November 8, 2019

Motion Picture Code essays

Motion Picture Code essays The economic downturns of the Great Depression contributed to the countys fascination with gangster genres. As Americans lost their jobs or saw their farms foreclosed on by the once admired establishment or banking system; with public endorsement gangsters descended in spirit from Americas frontier outlaws such as the James Gang, and led by desperadoes like Pretty Boy Floyd, Baby Face Nelson, and Machine Gun Kellyrose up to assault the system. Because of Prohibition, the Great Depression and World War II, gangsters became the modern gunslingers and outlaws. The gangster saga replaced the Western as the American myth. It told the story of modern America. Young Americans enjoyed watching gangster films during the 1930s. Before President Roosevelts New Deal, gangsters were without doubt the American cinemas most striking heroes. The film industrys love affair with members of criminal gangs was only natural, they were colorful, violent, and charismatic men and women whose law-breaking activities were followed by millions of law abiding Americans. But when brought to the screen, gangster films more than any other Hollywood genre created problems not only for the usual censorship lobbies but also for judges, lawyers, teachers, policemen, mayors, newspapers, and local councilors. Many respectable citizens believed that gangster films based on the lives and activities of Prohibition-era criminals, led to an increase in juvenile delinquency and accused Hollywood of delivering impressionable youth into a career of crime. The harmful effects of fast-moving and exciting gangster films on young cinema patrons thus became a prominent concern of those eager to control and censor this pervasive new mass medium. After a series of sex scandals rocked the American film industry, in 1922 Hollywoods Jewish moguls hired a midwestern Presbyterian gentleman and influential ...

Wednesday, November 6, 2019

The Rose Valley

The Rose Valley It was April, the time we had spring break in high school and my best friend Daniela invited me to join her house in Kazanlak for a few days. Kazanlak is a small but unforgettable place for everyone who visits it.It is situated in a valley between the Balkan range and the Sedan Gore Mountains in Bulgaria. The valley has become know as the KazanlakRose valley, and the rose grown there is now known worldwide as the Kazanlak Rose. I was so anxious to see the beauty that everybody talks about. Until that moment I had not been there, and it was shameful that I had been born in Bulgaria but never visited this amazing place so full of historical and cultural significance.We left early in the morning because we didn't want to waste the whole day of traveling and miss the view of the valley when it awakes.English: location of the 4 cities of: Sopot, Karlo...During the trip my friend was telling me more about the town and made me more impatient to see it. As we approached Kazanlak, the scent o f the roses came over us and I was looking through the window of the car with wide-open eyes. I didn't want to miss anything.Before, there were so many words, word, and more words. The picture of the real valley of roe cannot be compared with any words; you have to see it in person. The valley and between the rows of roses, Little old-fashioned stone houses dotted one side of the valley separated by narrow cobblestone paths. You have the feeling that you're in a different world.We arrived at the house and I was in a hurry to go out and explore every little detail of the valley. Daniela showed me around the town, but I couldn't...

Sunday, November 3, 2019

IT Journal Article Essay Example | Topics and Well Written Essays - 250 words

IT Journal Article - Essay Example rms is the use of electronic health record that provides a streamlined communication system between the physicians through use of universal records of the patient. The EHRs make the clinical guidelines available when care is being provided. Reviews on EHRs have shown that there is improved adherence to the set clinical guidelines (Ballard, 2012). The research carried out took place in 2006 in health Texas provider network that was already implementing the EHR system. The data was collected analyzed and conclusions made from the results. From the results, it was clear that implementing EHR had an immense impact on documented care and outcomes on the diabetic patients. The exposure of the system was associated with improvement on optimal care and individual process and outcome measures. However, the results did not show evidence that use of EHR has effects on the most important measure of diabetes care. The study had a limitation of lack of randomization that prevented ruling out effects because of the unobserved differences between groups. Despite the limitations of the research, the assessment on the effect of E H R implementation shows optimal care is significant with the use of EHR (Ballard,

Friday, November 1, 2019

Changes needed to Palliative care today Thesis Example | Topics and Well Written Essays - 5000 words

Changes needed to Palliative care today - Thesis Example She recommended that the palliative care component and appropriate standards be included in the needs assessment and in the contracts for hospitals and community services. According to Morrow (2009) the aim of palliative care is to improve the quality of the life of patients and their families who faces a life-threatening illness. Its focus is to alleviate them through prevention and the treatment of suffering. Palliative care involves the self (physical, emotional, spiritual) of the patient as well as their families. This care provides relief from pain and other symptoms related to the illness (fatigue, nausea, shortness of breath, loss of appetite). The aim is to prevent and relieve these symptoms so that the patient may continue with his or her daily life. Hospice care is one form of palliative care. The palliative care may be offered at any given time of an illness with curative therapies which are meant to prolong life versus hospice care, designed for patients that have a terminal illness and the life expectancy is of six months or less (Morrow, 2009). The palliative team is composed of doctors treating different conditions (diabetes, heart diseases, kidney disease). The palliative care doctor will generally orchestrate the care between several specialists to create a perfect harmony. The palliative care team may include: Palliative care physicians; specialists or general practitioners; nurses; nursing assistants or home health aides; social workers; chaplains; physical, occupational, and speech therapists. This team may assist in the health care choices that may be right for the patients (Morrow, 2009). The palliative care may be given in hospitals (chemotherapy, radiation) or at home. The subacute team is similar in its composition, except that they include: in-house medical staff, registered nurses and certified nurse aides, dietary, therapeutic recreation specialist, and an