Saturday, November 30, 2019

John Browns Raid On The Federal Armory At Harpers Ferry, Virginia, In

John Brown's raid on the federal armory at Harpers Ferry, Virginia, In October 1859, involved only a handful of abolitionists, freed no slaves, and was over in two days. Although many Northerners condemned the raid, by 1863 John Brown had become a hero and a martyr in the North. The views about John Brown expressed in the documents illustrate the strained relationship between the North and South before the civil war(1859-1860) and the severely crippled relationship after the civil war. In 1859 before the Civil war the Northern-Southern relationship was strained with such laws as the Kansas-Nebraska act, 'legalizing' slavery through popular soveirgnty in the territories, and the Dredd Scott decision practically legalizing slavery in any territory(without popular sovereignty). Soon after John Brown's famous raid, Northerners condemned him(Doc. A) for combating a 'great evil'(Slavery) in an 'unfit way'(through fighting), They said this because it was unconstitutional to fight without going through the government and there are other ways to get rid of slavery. This basically was a last ditch effort to save the south from succeeding from the union and to hold the thread that was holding the relations of the North and South together. By 1860, the dreaded election of 1860 was here and the Civil war would soon start due to the 'Railsplitter' Lincoln winning the election. Views of John Brown in the North were gaining more momentum as he became more popular(Doc. D). More Northerners began to feel it that John Brown had done it the right way. The Democrats at this time were using tactics to use John Brown against the Republicans that were for it, this failed and showed that most northerners were with John Brown all the way(Doc. E). He began to be more like a martyr in the north toward the end of 1860(Doc. F). When Lincoln was elected the South immediately succeeded and the Civil war began shortly after. During the Civil War John Brown rose to Hero and Martyr status and a famous song of the civil war was pledged to him(Doc. G). In Conclusion, the views of John Brown between 1859-1863 clearly showed how the North-South relationship was hanging on a thread and was cut as John Brown became more famous between these periods and into the Civil War.

Tuesday, November 26, 2019

The Colombia-Peru War of 1932

The Colombia-Peru War of 1932 The Colombia-Peru War of 1932: For several months in 1932-1933, Peru and Colombia went to war over disputed territory deep in the Amazon basin. Also known as â€Å"the Leticia Dispute,† the war was fought with men, river gunboats and airplanes in the steamy jungles on the banks of the Amazon River. The war began with an unruly raid and ended with a stalemate and a peace deal brokered by the League of Nations. The Jungle Opens Up: In the years just before World War One, the various republics of South America began expanding inland, exploring jungles that had previously only been home to ageless tribes or unexplored by man. Not surprisingly, it was soon determined that the different nations of South America all had different claims, many of which overlapped. One of the most contentious areas was the region around the Amazon, Napo, Putumayo and Araporis Rivers, where overlapping claims by Ecuador, Peru and Colombia seemed to predict an eventual conflict. The Salomà ³n-Lozano Treaty: As early as 1911, Colombian and Peruvian forces had skirmished over prime lands along the Amazon River. After over a decade of fighting, the two nations signed the Salomà ³n-Lozano Treaty on March 24, 1922. Both countries came out winners: Colombia gained the valuable river port of Leticia, located where the Javary River meets the Amazon. In return, Colombia relinquished its claim to a stretch of land south of the Putumayo River. This land was also claimed by Ecuador, which at the time was very weak militarily. The Peruvians felt confident that they could push Ecuador off of the disputed territory. Many Peruvians were unhappy with the treaty, however, as they felt Leticia was rightly theirs. The Leticia Dispute: On September 1, 1932 two hundred armed Peruvians attacked and captured Leticia. Of these men, only 35 were actual soldiers: the rest were civilians mostly armed with hunting rifles. The shocked Colombians did not put up a fight, and the 18 Colombian national policemen were told to leave. The expedition was supported from the Peruvian river port of Iquitos. It’s unclear whether or not the Peruvian government ordered the action: Peruvian leaders initially disavowed the attack, but later went to war without hesitation. War in the Amazon: After this initial attack, both nations scrambled to get their troops into place. Although Colombia and Peru had comparable military strength at the time, they both had the same problem: the area in dispute was extremely remote and getting any sort of troops, ships or airplanes there would be a problem. Sending troops from Lima to the contested zone took over two weeks and involved trains, trucks, mules, canoes and riverboats. From Bogota, troops would have to travel 620 miles across grasslands, over mountains and through dense jungles. Colombia did have the advantage of being much closer to Leticia by sea: Colombian ships could steam to Brazil and head up the Amazon from there. Both nations had amphibious airplanes that could bring in soldiers and arms a little at a time. The Fight for Tarapac: Peru acted first, sending troops from Lima. These men captured the Colombian port town of Tarapac in late 1932. Meanwhile, Colombia was preparing a large expedition. The Colombians had bought two warships in France: the Mosquera and Cà ³rdoba. These sailed for the Amazon, where they met up with a small Colombian fleet including the river gunship Barranquilla. There were also transports with 800 soldiers on board. The fleet sailed up the river and arrived at the war zone in February of 1933. There they met up with a handful of Colombian float planes, rigged out for war. They attacked the town of Tarapac on February 14-15. Hugely outgunned, the 100 or so Peruvian soldiers there quickly surrendered. The Attack on Gà ¼eppi: The Colombians next decided to take the town of Gà ¼eppi. Again, a handful of Peruvian airplanes based out of Iquitos tried to stop them, but the bombs they dropped missed. The Colombian river gunboats were able to get into position and bombard the town on the might of March 25, 1933, and the amphibious aircraft dropped some bombs on the town as well. The Colombian soldiers went ashore and took the town: the Peruvians retreated. Gà ¼eppi was the most intense battle of the war so far: 10 Peruvians were killed, two more were injured and 24 were captured: the Colombians lost five men killed and nine wounded. Politics Intervenes: On April 30, 1933, Peruvian President Luà ­s Snchez Cerro was assassinated. His replacement, General Oscar Benavides, was less keen to continue the war with Colombia. He was, in fact, personal friends with Alfonso Là ³pez, President-elect of Colombia. Meanwhile, the League of Nations had gotten involved and was working hard to work out a peace agreement. Just as the forces in the Amazon were getting ready for a large battle - which would have pitted the 800 or so Colombian regulars moving along the river against the 650 or so Peruvians dug in at Puerto Arturo - the League brokered a cease-fire agreement. On May 24, the cease-fire went into effect, ending the hostilities in the region. Aftermath of the Leticia Incident: Peru found itself with the slightly weaker hand at the bargaining table: they had signed the 1922 treaty giving Leticia to Colombia, and although they now matched Colombias strength in the area in terms of men and river gunboats, the Colombians had better air support. Peru backed off its claim to Leticia. A League of Nations presence was stationed in the town for a while, and they transferred ownership back to Colombia officially on June 19, 1934. Today, Leticia still belongs to Colombia: it is a sleepy little jungle town and an important port on the Amazon River. The Peruvian and Brazilian borders are not far away. The Colombia-Peru war marked some important firsts. It was the first time that the League of Nations, a precursor to the United Nations, got actively involved in brokering a peace between two nations in conflict. The League had never before taken control over any territory, which it did while details of a peace agreement were worked out. Also, this was the first conflict in South America in which air support played a vital role. Colombias amphibious air force was instrumental in its successful attempt to reclaim its lost territory. The Colombia-Peru War and the Leticia incident are not terribly important historically. Relations between the two countries normalized pretty quickly after the conflict. In Colombia, it had the effect of making the liberals and conservatives put aside their political differences for a little while and unite in the face of a common enemy, but it didnt last. Neither nation celebrates any dates associated with it: its safe to say that most Colombians and Peruvians have forgotten that it ever happened. Sources: Santos Molano, Enrique. Colombia dà ­a a dà ­a: una cronologà ­a de 15,000 aà ±os. Bogot: Editorial Planeta Colombiana S.A., 2009. Scheina, Robert L. Latin Americas Wars: the Age of the Professional Soldier, 1900-2001. Washington D.C.: Brassey, Inc., 2003.

Friday, November 22, 2019

Cómo ser exitoso pidiendo extensión de visa de turista

Cà ³mo ser exitoso pidiendo extensià ³n de visa de turista Los turistas extranjeros que se encuentran en Estados Unidos con una visa B1 o la combinada B1/B2 pueden solicitar una extensià ³n de su estadà ­a, si desean permanecer en el paà ­s por ms tiempo. Quià ©nes no pueden extender la visa de turista No todos los turistas pueden solicitar quedarse ms tiempo del que inicialmente les ha sido concedido.   Hay que tener en cuenta algunas situaciones especiales. En primer lugar, los mexicanos que ingresan a Estados Unidos con una visa de cruce BCC, tambià ©n conocida como lser, deben respetar reglas especiales de tiempo y tambià ©n de millas que se pueden adentrar ms all de la là ­nea de la frontera. Si sus planes son distintos, deben realizar previamente los trmites correspondientes. Por otro lado, los canadienses y los ciudadanos de Bermudas pueden ingresar a Estados Unidos como turistas sin visa por un mximo de 180 dà ­as. Pueden salir y regresar al poco tiempo, si bien en este caso se arriesgan a que el oficial fronterizo de la CBP consideren que estn en realidad viviendo en Estados Unidos y les niegue el ingreso al paà ­s. Los canadienses no deben confundir este plazo migratorio de 6 meses  con el de impuestos de 120 dà ­as, es decir, 4 meses. Son cosas distintas que a veces se confunden. Por à ºltimo, los ciudadanos de los paà ­ses incluidos en el programa de Exencià ³n de Visa pueden ingresar a Estados Unidos como turistas por un mximo de 90 dà ­as y no es posible en ningà ºn caso extender esta estadà ­a. Imposible. Tener en cuenta que si llegan por avià ³n en una là ­nea aà ©rea- es decir, no en una nave privada- se necesita solicitar una autorizacià ³n electrà ³nica que se conoce como ESTA.  Esta autorizacià ³n no es una visa, por lo tanto es imposible extender lo que no se tiene. Todos los dems turistas, es decir, lo que ingresan con la visa B-2, que la mayorà ­a de las veces se emite conjuntamente con la B-1, que es la que se utiliza para negocios, pueden solicitar la extensià ³n. Pero para ser exitoso es conveniente seguir los siguientes consejos.   Cundo se puede solicitar la extensià ³n de la visa de turista Lo primero que hay que tener claro es cundo se puede permanecer legalmente en los Estados Unidos. Para ello, la informacià ³n la brinda el documento que se conoce como I-94. No cometer el error de considerar que la fecha que hay que mirar es la de expiracià ³n de la visa.  Son dos cosas completamente distintas. A continuacià ³n, tener en cuenta que no se debe pedir la extensià ³n muy pronto. Es decir, se aconseja llevar ya unos tres meses ya en los Estados Unidos. La razà ³n para dejar transcurrir ese tiempo es para evitar que las autoridades migratorias consideren que esa fue siempre la intencià ³n y que por lo tanto no se fue claro al ingresar al paà ­s. Si se da esa impresià ³n lo ms probable que suceda es que se niegue la peticià ³n de extensià ³n. Por otro lado, tampoco se puede enviar muy tarde la solicitud de la extensià ³n. Se considera que lo prudente es enviarla 45 dà ­as antes de que llegue el dà ­a mximo de estancia autorizada en los Estados Unidos. Por ejemplo, si segà ºn el I-94 la estancia autorizada finaliza el 30 de septiembre, enviar la solicitud el 16 de agosto o unos cuantos dà ­as antes. Cà ³mo se pide extender la visa de turista o paseo Antes de comenzar, verificar la fecha de expiracià ³n del pasaporte. Debe ser vlido en el momento en que se solicita la extensià ³n y asegurarse de que lo seguir siendo durante el tiempo para el cual se solicita la extensià ³n de la estadà ­a. Si se cumple ese requisito, proceder a continuacià ³n a rellenar el formulario I-539.  Ã‚  El nombre oficial es Application to extend/change nonimmigrant status y es que tambià ©n se utiliza para otras solicitudes. Por lo que es importante marcar y llenar sà ³lo las casillas que apliquen al caso. Documentacià ³n adicional Junto con la forma I-539 debe enviarse el  registro de entrada/salida I-94. Los extranjeros que ingresaron a los Estados Unidos despuà ©s del 30 de abril de 2013 por aeropuerto o puerto tienen una versià ³n digital de este documento. Se puede obtener una copia en la pgina oficial de la CBP. En los casos de ingreso por frontera terrestre en los que se tiene un I-94 de papel o casos especiales de ingresos por aeropuerto o puerto y se ha extraviado, llenar en su lugar el formulario que se conoce como I-102 para obtener asà ­ una copia. Adems, se debe explicar en una carta en inglà ©s y en detalle las razones para pedir la extensià ³n de la visa. Por quà © la estancia en EEUU continà ºa siendo temporal, cundo y cà ³mo se planea salir del paà ­s y tambià ©n quà © posibles efectos puede tener en el empleo que se tenga en el paà ­s de origen alargar la estancia en los Estados Unidos. En el caso de que varios miembros de una misma familia se encuentren visitando Estados Unidos, es suficiente rellenar una sola aplicacià ³n para solicitar la extensià ³n de la visa, siempre y cuando la unidad familiar està © conformada por los padres- o uno de ellos- e  hijos solteros  menores de 21 aà ±os. En cuanto al tiempo el que se pide la extensià ³n, queda a eleccià ³n del turista siempre y cuando sea por un tiempo inferior a los 180 dà ­as. Es conveniente ser razonable en este punto y pedir una ampliacià ³n que no resulte sospechosa y dà © lugar a que se pueda pensar que se est viviendo en el paà ­s, o se est trabajando, etc. Si se incluye documentacià ³n en un idioma distinto al inglà ©s, debe traducirse y certificarse la traduccià ³n siguiendo este modelo de carta. Arancel o cuota que pagar para extender la visa de turista En la actualidad deben abonarse $290 por este servicio. Para asegurarse de la cantidad, ya que puede cambiar en cualquier momento, se puede verificar en la pgina oficial del USCIS y buscar por el nombre del formulario, es decir, I-539 y aà ±adir la palabra arancel en inglà ©s, es decir, fee. Tambià ©n es posible marcar gratis al Servicio al Cliente del USCIS marcando gratuitamente al 1-800-375-5783. Se puede pagar mediante money orden o mediante un cheque en dà ³lares de un banco o de una institucià ³n financiera con oficinas en Estados Unidos y pagadero a nombre del U.S. Department of Homeland Security. No utilizar abreviaciones como DHS o USDHS. Oficina a la que se envà ­a Para la extensià ³n de la visa de turista existen dos direcciones a utilizar, corresponde una u otra dependiendo del mà ©todo de envà ­o.   Por correo ordinario: USCIS Dallas Lockbox U.S. Postal Service:USCISP.O. Box 660166Dallas, TX 75266 Por correo urgente o por servicio de mensajerà ­a: USCISATTN: I-5392501 S. State Highway 121 BusinessSuite 400Lewisville, TX 75067 Decisià ³n de las autoridades migratorias El USCIS notificar por escrito si concede o no la peticià ³n de extender la visa de turista. Por esta razà ³n, es fundamental que la notificacià ³n llegue a su destino y no se pierda por el camino. Por lo tanto, si se cambia de domicilio es importantà ­simo notificarlo, aunque lo recomendable, si es posible, es seguir en el mismo sitio hasta que llegue la carta. La decisià ³n del USCIS puede ser de tres tipos En primer lugar, se aprueba la peticià ³n de extender la visa. En este caso la nueva fecha tope para poder permanecer legalmente en Estados Unidos la seà ±ala el nuevo I-94. Siempre y cuando la extensià ³n se hubiera pedido dentro del periodo de presencia autorizada, no se incurrir en presencia ilegal mientras se espera por la aprobacià ³n del USCIS, aà ºn cuando esta llegue con fecha posterior a la seà ±alada en el I-94 de ingreso al paà ­s. En segundo lugar -y esto es de gran importancia- la falta de contestacià ³n por ms de 240 dà ­as. A partir de ese dà ­a se considera que la presencia del turista es ilegal. Y en tercer lugar, se niega la peticià ³n. En este caso hay que salir inmediatamente de los Estados Unidos. No se dice cuntos dà ­as exactamente se tiene que salir. Pero la obligacià ³n es que se salga de forma inmediata. Adems, en estos casos, hay un problema aà ±adido: se considera que se da una situacià ³n de presencia ilegal a contar desde el dà ­a en que expirà ³ el I-94 cuya extensià ³n ha rechazado el USCIS. Es decir, desde el punto de vista de las leyes migratorias esa persona es inadmisible lo cual tiene efectos inmediatos en la validez de la  visa de turista.  ¿Cuntas veces se puede pedir la extensià ³n de la visa? La ley no dice que exista un nà ºmero mximo de veces. Pero sà ­ el tiempo mximo que se puede permanecer en Estados Unidos con una visa de turista contando todas las extensiones aprobadas: 1 aà ±o. Por lo tanto no se puede encadenar extensiones pasado ese là ­mite. Errores que se deben evitar Una creencia extendida y que es completamente equivocada es la de entender que si no se sale a tiempo pero la estancia ilegal es por pocos dà ­as pues que no pasa nada. Sà ­ que hay consecuencias, desde el dà ­a primero. Adems, si la estancia ilegal se prolonga por ms all de medio aà ±o, aplica adems  el castigo de los tres o de los 10 aà ±os. Por otra parte, muchos turistas creen que pueden viajar a Mà ©xico, Canad o a las Bahamas por avià ³n o por tierra y luego regresar y obtener asà ­ un nuevo I-94. Pero eso no es asà ­, para obtener una nueva fecha en el I-94 habrà ­a que haber viajado fuera de toda Amà ©rica del Norte. Y aà ºn viajando a otro paà ­s, debe siempre tenerse en cuenta la frecuencia de los ingresos a Estados Unidos, pues podrà ­a dar lugar a problemas al llegar al puesto de control migratorio, por tierra, mar o aeropuerto. Algunas opciones poco conocidas En casos muy concretos, es posible viajar fuera de Estados Unidos y volver a entrar con una visa expirada. Es lo que se conoce como revalidacià ³n automtica. Pero est sujeta a requisitos muy estrictos.   Tambià ©n en casos muy especà ­ficos, es posible restaurar el estatus migratorio cuando se ha fallado a la hora de salir a tiempo o pedir la extensià ³n de la visa a tiempo. Consejos para mantener la visa de turista Para acabar este artà ­culo, seà ±alar que no sà ³lo la presencia ilegal puede dar lugar a problemas a la hora de mantener la visa de turista. Es muy importante respetar la intencià ³n de la visa: simplemente turismo. Por lo tanto si se desea casarse, hay que tener en cuenta ciertas precauciones. Si se quiere estudiar a tiempo completo, o lo que es lo mismo, ms de 19 horas, la visa que hay que solicitar es la de estudiante o, en su caso, la de intercambio. Y que por supuesto est prohibido trabajar con esta visa. Para ello hay que estar autorizado por un documento migratorio que lo permita. Trabajar sin estar autorizado es una violacià ³n migratoria.

Thursday, November 21, 2019

Important place Essay Example | Topics and Well Written Essays - 1000 words

Important place - Essay Example Are you interested in knowing more about this amazing place? I know you said yes, join me as we address the nitty-gritties of this wonderful place. Talking of location, my house is perfectly located in a highly and rocky ground. It stands tall besides neatly pruned cypress trees. Located at the northwest side of the homestead, my house distinguishes itself from the rest of the houses in the neighborhood. The rear door faces the south while the front towards the north. Wind movements that usually moves from the east towards the west cannot find its way into the house. In addition, a perimeter electric fence ensures that the house is fully protected against any invasion by malicious individuals. The neighborhood is very serene. Within the region, electricity is guaranteed. However, when there is no electricity there are automatic generators; this ensures that the house is continually lit. I love the location of my house, it just fits perfectly to be a dream house that I have admired over the years. The architectural design is out of this world. It is a two-storied mansion with three bedrooms, a table room, a meditation room, three washroom areas, and a kitchen. The clean finishing and the perfect match of the colors say it all. From outside, the green compound with cypress trees matches very well with shades of green painting in the exterior section of the house. On the inside, the house is sparkling white. The outside door is automated; a stranger cannot get access without a request. The kitchen and the bedrooms have a perfect wood finishing that gives the aesthetic appeal of the house. On the middle of the house is a wooden staircase; a neatly cut wooden trunk perfectly fits at the middle and connects the upper floor from the ground floor. The trunk gives the house a natural look, which makes it very appealing. The table room is one that will impress. The wooden ceiling and the perfectly tiled floor makes the house so

Tuesday, November 19, 2019

Business law class Essay Example | Topics and Well Written Essays - 500 words

Business law class - Essay Example On the other hand, if the patient’s condition was not critical, the doctor could have considered the postponement of the surgery for a while. So before declaring the doctor as a culprit we need to know the exact condition of the patient before the surgery. On the other hand the ECR manufacturer certainly deserves punishment. There is no doubt about the crime committed by the ECR manufacturer. It is the manufacturer’s responsibility that to ensure the quality of their product before introducing it to the market. If the users of a product suffer injuries or damages due to a product, they have every right to sue against the product manufacturer. In my opinion, the nursing staff, and the anaesthesiologist have nothing to do with this problem. Nursing staffs normally work as per the instructions of the doctor. If the doctor asks them to do something they should obey it. For example if the doctor asks the nurses to inject certain medicine to a patient, they should do it. Same way, if the doctor asks them to use an instrument they should use it and the doctor is the responsible person if any problem occurs. Anaesthesiologist is also not responsible for the above problem. The duty of the Anaesthesiologist is related to the anaesthesia given to the patient. If the patient develops any problems due to overdose or under dose of anaesthesia, Anaesthesiologist needs to take responsibility for that. But in this case, no such incidents were reported and the anaesthesiologist cannot be sued by the patient. On the other hand the patient can consider suing against the hospital authorities or management also. Hospital management is responsible for the damages caused to a patient by the defective equipments. It is the duty of the hospital management to purchase better quality products and to keep all of them in proper shape. In

Saturday, November 16, 2019

“Theory to Practice” Questions Essay Example for Free

â€Å"Theory to Practice† Questions Essay Read the â€Å"Theory to Practice† section at the end of Ch. 6 of the text. Answer Questions 1 through 6 based on the scenario in the â€Å"Theory to Practice† section, and complete the following in your response: †¢At the end of the scenario, BTT states that it is not interested in distributing Chou’s new strategy game, Strat. Assuming BTT and Chou have a contract, and BTT has breached the contract by not distributing the game, discuss what remedies might or might not apply. At what point, if ever, did the parties have a contract? I do not believe that the parties ever had a contract. The scenario stated that the parties reached an oral agreement 3 days before the 90-day deadline that was stipulated in the negation contract. The exclusive negotiation agreement stipulated that no distribution contract existed unless it was in writing. Although a BTT manager sent Chou an e-mail that repeated the key terms of the distribution agreement, I do not believe this counts as a contract as being in writing because there are no signatures and Chou did not agree to it after he saw the e-mail even though he agreed to it orally. No contract was ever officially drafted in writing and agreed upon by both parties (signatures). What facts may weight in favor of or against Chou in terms of the parties’ objective intent to contract? The fact that BTT paid Chou $25,000 for exclusive negotiation rights would leave Chou to believe that BTT was serious about following through with a distribution contract. This fact would weigh in Choi’s favor. Unfortunately, even though the parties had an oral agreement, no written agreement was ever drafted within the timeframe stipulated on the negotiation agreement. The parties did have seem to have an objective intent to contract, but unfortunately, when new management came in, they were not interested in distributing Strat, and since there was no written contract, I believe they were within their rights to turn Chou away. Does the fact that the parties were communicating by e-mail have any impact on your on your analysis in Questions 1 and 2 (above)? No, the fact that the parties were communicating by e-mail did not have any impact on my analysis. E-mail is just that, e-mail. It is not a written contract; it is just another form of communication. These e-mails just sound like written communications that need to be put in the written contract and signed by all parties. Just because BTT sent, an e-mail outlining their verbal agreement with Chou does not make it a valid contract until it is in writing and signed by the parties involved. What role does the statute of frauds play in this contract? Under the UCC, the statue of frauds applies to any contract for the sale of goods for $500.00 or more. Obviously, the negotiations between BTT and Chou are for more than $500.00, so the statute of frauds would apply here. For common law contracts, in general, the statute of frauds applies to contracts that cannot be performed in less than one year. Therefore, the statute would apply to this contract. The one element that is uniformly required is a signature of the party against whom enforcement of the contract is sought. There were no signatures to finalize the contract between BTT and Chou. Some courts have ruled that e-mails constitute signed writings within the meaning of statute of frauds since the name at the end of the e-mail signifies intent to authenticate its content. In this scenario, it is somewhat hard to come to this conclusion because it did not say if Chao responded to the e-mail containing the outline of the contract, which would have passed for his signature accordin g to some courts. Could BTT avoid this contract under the doctrine of mistake? Explain. Would either party have any other defenses that would allow the contract to be avoided? BTT could not avoid this contract under the doctrine on mistake. A mistake is defined in contract law as a belief that is not in accord with the facts. I do not believe that the doctrine of mistake would have any bearing in this scenario. BTT’s best defense would be that Chou never signed any agreement in writing or via e-mail. They could say that Chou never agreed to this contract because there was no signature as according to the statute of frauds. Chou could argue that he did not believe there was an agreement since several months had passed since he heard from BTT. Assuming, argue do, that this e-mail does not constitute an agreement, what consideration supports this agreement? I think the fact that BTT gave Chou $25,000 for exclusive negotiating rights shows that BTT had the intent of signing a contract with Chou. The two parties also reached an initial oral agreement although oral agreements are hard to prove in court. BTT also sent Chou a fax asking him to send a draft for a distribution agreement contract. At the end of the scenario, BTT states that it is not interested in distributing Chou’s new strategy game, Strat. Assuming BTT and Chou have a contract, and BTT has breached the contract by not distributing the game, discuss what remedies might, or might not apply. If BTT and Chou had a contract and BTT had breached the contract by not distributing the game, certain remedies might apply; specifically equitable remedies. Specific performance could be used to order BTT to render the promised performance by ordering them to take a specific action. Chou would also be able to seek compensatory damages. This would include out-of-pocket damages and potential profits that would have been earned if performance had occurred.

Thursday, November 14, 2019

Nutrition Vs. Sport Performance :: Health Nutrition Pyramid Diet

The world is an orb of life. In its limited space all life forms compete to hold their own position. As Darwin concluded in his theory of evolution, “only the strong and most advanced survive, while the weak perish and are pushed aside.'; Evolution, the theory we use today to fuel our need to win and succeed in any organized competition. It is this drive that results in the vigorous preparation athletes’ go through to become superior among their race. To thrive, we must understand that proper nutrition is the basis any athlete must build from in order to achieve peak physical performance.   Ã‚  Ã‚  Ã‚  Ã‚  Prior to strenuous activity it is imperative that the body has the required amounts of nutrients to carry out an activity. At the latest reference it is recommended that a person consume an average of 2200 mg of calories, 60 g of fat, less than 5000 IU of vitamin A, more than 60 mg of vitamin C, 400 IU of vitamin D, more than 2000 mg of potassium, 2000 mg of sodium, 65 g of protein, 1.5 mg of thiamin, 1.7 mg of riboflavin, 20 mg of niacin, and 18 mg of iron. Nutritionists of today simplify this into an equation of 40% carbohydrates, 30% fats, and 30% protein that the entire day’s meals should be divided into. The total calorie intake must increase for active persons from 2200 to 2200 plus the total number used while exercising. This will ensure replenishment of the body’s system. Edgeworth 2   Ã‚  Ã‚  Ã‚  Ã‚  With the wide variety of athletic competitions, the specific meal a competitor may need to eat to benefit themselves differs widely, as do the events. The last meal or two are extremely important in both their time of consumption and content. It is these two factors that can cause a person to make or break their day just by their choices. Experience plays a large role since one must attempt many different pre-competition meals before they will find one that suits the individual. For most, the high carbohydrate diet is the choice; packing in as many as possible since it is such a huge energy source. Also, judging by time, one must decide the size of the meal. To digest a large meal takes 3-4 hours, a small meal 2-3 hours, liquid meal 1-2 hours, and a small snack takes less than an hour. A person may even find a burst of caffeine to be helpful or may just want a feeling of ease by not eating anything at all.

Monday, November 11, 2019

Notes on 5 Different Short Story

Notes on Short Story THE GIFT OF THE MAGI By O. Henry Date: 26 September 2012 Title: The Gift of the Magi Author: William Sydney Porter also known as O. Henry Background of the O. Henry: O. Henry was born on September 11, 1862, in Greensboro, North Carolina. Both his mother and father died before O. Henry turned 20. As a teenager, he worked as a pharmacist’s assistant in his uncle’s drugstore to help support his family. At age 19, he moved to Texas to take advantage of its warmth and dry climate. There he worked at a farm that belonged to a friend of his family’s. Vocabulary: * Instigates: To cause by incitement Subsiding: To sink to a low or lower level * Coax: To attempt to influence by gentle persuasion * Faltered: To hesitate or waver in action, purpose, intent, etc. * Ravages: To work havoc upon * Assertion: A positive statement or declaration, often without reason or support * Tresses: A plait or braid of hair * Ardent: Having, expressive of, or characteriz ed by intense feeling * Dandy: A man who is excessively concerned about his clothes and appearance * Manger: A box or trough in a stable or barn from which horses or cattle eat Setting: Christmas Eve, New York City Characters: Delia Young * James Dillingham Young * Madame Sofronie Literary Devices: * Allusion: â€Å"The magi, as you know, were wise men—wonderfully wise men—who brought gifts to the Babe in the manger. † * Anadiplosis: â€Å"And sixty cents of it was in pennies. Pennies saved one and two†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬  * Polysyndeton: â€Å"†¦Ã¢â‚¬ ¦ a time by bulldozing the grocer and the vegetable man and the butcher. † * Personification: â€Å"The dull precious metal seemed to flash with a reflection of her bright and ardent soul. † * Repetition: â€Å"†¦Ã¢â‚¬ ¦ looked out dully at a gray cat walking a gray fence in a gray backyard. * Simile: â€Å"†¦Ã¢â‚¬ ¦ about her rippling and shining like a cascade of brown wate rs. † * Metaphor: â€Å"Oh, and the next two hours tripped by on rosy wings. † * Situational Irony: Della receives combs for her hair that is no longer there. * Synecdoche: â€Å"White fingers and nimble tore the string and paper†¦Ã¢â‚¬  * Alliteration: â€Å"†¦Ã¢â‚¬ ¦ that life is made up of sobs, sniffles, and smiles. † Symbolism: The symbolism in â€Å"The Gift of the Magi† is based upon the gifts given by Jim and Della. Both Jim and Della gave up a possession the forfeited the importance of the gift they would receive from their spouse.The gifts showing the importance of giving everything of themselves. Theme: * Love * Sacrifice * Wealth * Women and Feminity Point of View: Third Person THE NECKLACE BY: GUY DE MAUPASSANT Date: 10 October 2012 Title: The Necklace Author: Henri Rene Albert Guy De Maupassant Background of the Author: Henri Rene Albert Guy De Maupassant was born on August 5th, 1850 and was declared deceased on July 6th, 1893. He was a French writer known for his short stories, which painted the life of people in the 19th Century of France.He was prolific, published 300 short stories and 6 novels, but he died at a very young age due to physical and mental illness. Vocabulary: * Blundered: A gross, or stupid mistake * Wit: The keen perception and cleverly apt expression of those connections between ideas that awaken amusement and pleasure. * Antechambers: A chamber or room that serves as a waiting room and entrance to a larger room or an apartment * Peopling: Indefinitely or Collectively * Trifled: An article or thing of very little value Setting: Paris, 1880 Character: * Mathilde Loisel * Monsieur Loisel Madame Forestier Literary Devices: * Situational Irony * Authorial Intrusion * Anaphora * Alliteration Symbolism: The Necklace The necklace, beautiful but worthless, represents the power of perception and the split between appearances and reality. Mathilde wants to borrow the necklace from Madame Forestier, but she did not tell Mathilde that it was a fake. Mathilde never underestimated Madame Forestier due to her wealth. Themes: * Wealth * Women and Feminity * Pride * Suffering A Very Old Man with Enormous Wings By: Gabriel Garcia Marquez Date: 31 October 2012Title: A Very Old Man with Enormous Wings Author: Gabriel Garcia Marquez Background of the Author: Gabriel Garcia Marquez was born on March 6th, 1928. He was a writer who grew up listening to family tales. His novels and > have drawn worldwide audiences. He won the Nobel Prize in 1982. After College, he became a journalist who introduced readers to magical realism. Vocabulary: * Stupor: Suspension or great diminution of sensibility; as in disease or as caused by narcotics, intoxicants, etc. Grandeur: The quality or state of being impressive * Dialect: A variety of language that is distinguished from other varieties of the same language by features of phonology, grammar, and vocabulary and by its use by a group of speakers who ar e set off from others geographically or socially. * Bailiff: An officer, similar to a sheriff or a sheriff’s deputy, employed to execute writs and processes, make arrests, keep order in the court, etc. * Reverence: A feeling or attitude of deep respect tinged with awe * Frivolous: Characterize by lack of seriousness or sense * Robust: Strong and Healthy Impertinences: Unmannerly intrusion or presumption Setting: Characters: * The Old Man * Pelayo * Elisenda * Father Gonzaga * The Neighbor Woman * The Spider Woman Literary Devices: * Verbal Irony * Synesthesia * Magical Realism * Onomatopoeia * Allusion Symbolism: * Wings: Wings represent power, speed and limitless freedom in motion. Ironically, the wings of the angel in the story convey only a sense of age and disease. When the village doctor examines the old man, he notices how naturally the wings fit in with the rest of his body.The ultimate effect is to suggest that the old man is both natural and supernatural at once. * T he Spider Woman: The spider woman represents the fickleness with which many self-interested people approach their own faith. Not surprisingly, the old man’s reputation wanes when he proves capable of performing only minor â€Å"consolation miracles†. Themes: * Family * Moral * Religion * Magical Realism The Pedestrian By: Ray Bradbury Date: 7 November 2012 Title: The Pedestrian Author: Ray Bradbury Background of the Author: Ray Bradbury was born on August 22nd, 1920, Waukegan, Illinois.He was an American fantasy and horror author who rejected being categorized as a sci-fi author, claiming that his work was based on the fantastical and unreal. His best known novel is Fahrenheit 451. He is also remembered for other of his popular works including > and >. He was declared deceased just recently, June 5th, 2012 at the age of 91. Vocabulary: * Seams: The line formed by sewing together pieces of cloth, leather, or the like. * Intermittent: Stopping or ceasing for a time * Win try: Of or characteristic of winter * Doot: N/ASetting: November, 2053 A. D. Characters: * Leonard Mead Literary Devices: * Personification * Imagery * Symbolism * Simile * Metaphor * Alliteration * Irony Symbolism: On their way to the psychiatric Center for Research on Regressive Tendencies, they pass Mead’s house. It is ablaze with lights in contrast to the dark city. It is a symbol of hope of vibrant life – light is a universal symbol of hope, but the car is swallowed up once more into the darkness, literally and figuratively. Themes: * Technology * Society loses its humanity * Mankind cease to exist * Distrust and Ultimate Destruction * Propaganda * Pessimistic

Saturday, November 9, 2019

How successful can the management of fragile environments can be?

How successful can the management of fragile environments be, given the constant and increasing demand for their exploitation? A fragile environment is an area where the flora and fauna have adapted to a specific climate and evolved to occupy many different niches due to extremely high competition for resources. Furthermore due to the constant abiotic conditions, specialisation and symbiotic relationships have occurred to such a degree that even the slightest ecological or environmental disruption cannot be accommodated, meaning individual habitats and ecosystems can be easily destroyed.This combination of specialisation and interdependence increases the overall fragility and vulnerability of this biome Fragile environments can be exploited in different ways, and for different reasons. For example the Amazon Rainforest, an equatorial tropical rainforest biome, has been significantly exploited for its agricultural potential and natural resources; cattle ranching, soya bean and palm oi l plantations, mining and timber. The most significant consequence of these forms of exploitation is deforestation.There are many management strategies to combat deforestation, popular choices are; legislation, ecotourism, selective logging and various tree regeneration schemes. In this essay I will assess the extent to which these management schemes are successful in terms of sustainability and environmental effectiveness, in light of inevitable increasing anthropogenic pressures on tropical biomes around the world. Firstly it is important to identify how fragile environments are exploited and for what gain. If we look at the Amazon Rainforest, one of the major forms of exploitation is land for cattle ranching.Vast expanses of the rainforest are deforested to make way for grassland to rear cattle. This form of exploitation was responsible for 80% of all Amazonian deforestation in 2009, due to the ever increasing global demand for beef as a new wave of middle classes emerge from dev eloping nations with a first world diet. Large soya bean plantations run by major agricultural TNC’s like Cargill in the Amazon increase its land for plantations at rates of 1. 3 million hectares every year. Brazil is one of the world’s top producers of soya bean.The expansion of this market is driven by low transportation costs from improved infrastructure (both in and out of the Amazon) and increasing international demands for livestock feed where China is one of the main consumers, due to rapid economic growth (9% annually) and high demand from its emerging middle classes. The creation of huge mechanised soy monocultures has already been the sole cause of 21 million hectares of deforested rainforest in Brazil and 80 million hectares from the Amazon as a whole, since the early 1970’s.While these industries stated above as well as mining and logging have contributed to 240,000km2 of deforestation in the Amazon, the hunting for bush meat by native Amazonian trib es has put considerable pressure on rainforest fauna. Since the late 1990’s Brazilian Amazon local people consume between 2. 2 to 5. 4 million primates each year. This process is unsustainable as the primates reproduce at a much slower rate than they are consumed. Moreover some of these primates are endangered, meaning reproduction is inherently slower.There is often a conflict of interests between the exploitation and conservation of fragile environments. Thus in order for a fragile environment to be managed successfully a balance must be established. However, in reality this can be difficult to achieve. It is often the case that many countries depend on natural resources from fragile environments for income and trade on the global markets thus making fragile environments an integral part of their economy. This is the case with many LEDC’s, who are reluctant to stop exploiting their activities for fear it will result in economic decline and slower development.In Brazi l for example, much of the mining industry that takes place in the Amazon brought in $9 billion to the country in 2006. Moreover it can be a misunderstanding that most people, who exploit fragile environments like through mining in the Amazon, are doing so out of choice. As most locals have no other viable alternative to generate income for their families. Furthermore indigenous peoples often receive little education regarding global affairs and may not recognise the need for conservation. In addition it is rare that a single fragile environment is endemic to one country, as they often span over several territories.A good example is the Amazon rainforest which lies within Brazil, holding 60% of the forest, Peru 13%, Columbia 10% and with Venezuela, Ecuador, Bolivia, Guyana, Suriname and French Guiana also holding small amounts. This makes it difficult to establish a uniform strategy across the whole are, and made harder still by low funds available for conservation in many of these countries.One of the more popular forms of conservation management is conservation reserves that protect biodiversity and ensure its population lives  sustainably with their environment. One example of such a scheme is the Central Amazon Conservation complex in the Brazilian Amazon. Established in 2003, it brings together four reserves in the Amazon; Jau National Park, Anavilhanas Ecological Station, Mamiraua Reserve and Amana reserve, a total area of 49,000 km2. Sustainable development reserves have protected areas from developments that could have seriously damaged the CACC. Dams, pipelines, mines and commercial logging projects have all been prevented from entering the area.These reserves have improved biodiversity and caused a 100% increase in the black caiman population, and a 300% increase in the pirarucu fish. Economic Alternatives Programs promote sustainable activities whereby local people who make goods from the forest’s natural resources can sell directly to buye rs without going through ‘middle men’ who charge a commission. Thus ensuring a decent income, preventing any local farmers giving up land to major commercial agricultural firms, where the land is likely to be deforested and indigenous communities displaced.Overall the economics alternative program has reduced poverty, increasing household incomes by 50-99%. However this protecting such a large area can be difficult. The vastness of the area means it is majorly understaffed, thus making the control and regulation of illegal activities difficult. Only 100 volunteer guards and 150 employed members of staff are present in the Amana and Mariraua reserves – combined area of 2,490,000 hectares of land. The size of the protected areas and the number of staff available makes it is very difficult to prevent access into the reserves.In Jau National park, an area of 2,272,000 hectares, there’re only 4 permanent members of staff. Thus fish and turtle poaching remains a n unresolved problem. As populations increase around peripheral settlements, more stress is put on it to satisfy the demands of the populations, for example many towns in the heart of the rainforest suffer from intensive poaching of primates and manatees. Overall it may seem that despite efforts, and indeed success, of implementing such conservation schemes, may decrease in effectiveness following growing demand for the Amazons resources from increasing population pressure.Ecotourism is also a popular way of generating income for the local people as well as promoting conservation. It is a popular method of generating income in developing countries without billion dollar investments. Local people can act as guides or be providers of transport and accommodation – creating a source of income. The environmental low impact theme and conservation awareness can potentially bring in public and private investment. In addition it is a more environmentally friendly form of employment co mpared to other occupations such as logging and commercial agriculture.Plus if the country makes the economic transition from a manufacture to service sector economy, the government will have an indirect economic incentive to conserve the environment through promoting ecotourism. Ecotourism has already proved to be an economic, environmental and social success. For example, Costa Rica has been pumping in US$1. 6 million annually since 2000 from ecotourism, resulting in jobs for local people and 25% of its land under government protection. GNP per capita rose from $1500-$2000 between 1978 and 1992.The village of Tortuguero, Costa Rica, a satellite settlement to the Talamancan national park took a survey which indicated that 88% were highly satisfied with the multiplier effects from ecotourism in the park; such as local employment empowerment and government funding into building eco lodges on old farmland in the village; attracting tourists to spend in their local economy. However, th ere are cases where ecotourism has not benefitted the local community or the country as a whole.It is often the case that an ecotourism service is provided by an international agent, whereby revenue is repatriated overseas, away from the local community. Moreover even if the service is provided by host nation companies, the jobs can be seasonal, menial and in most cases, low paid. The influx of wealth and foreign exchange can shift political and economic conditions to make the country or area dependant on tourism as opposed to domestic economic practises. This induces a degree of instability to the industry, making it vulnerable to sudden economic change, such as the global financial crisis in 2008.This can create a lack of demand and subsequent economic decline in the area and ultimately forcing the local population into occupations that unsustainably exploit natural resources. In conclusion, it is can be said with a degree of confidence that most schemes are beneficial to an exten t. Land which is protected, conserved and managed sustainably outweighs the possible environmental damage that can occur due to poor management and lack of funding towards the scheme. Moreover it is the schemes which involve the local community that have the biggest potential to be successful.Managing the environment whereby its inhabitants are able to reap the full economic benefits of its natural resources allows; growth, development and investment into the local economy – Thus resulting in a self-sustaining operation. However, as world population is not yet set to peak until 2050, the pressure on the environment and demand for resources is only set to increase. It is also worth noting that in the light of possible changes to our global climate system in the coming decades there will be an even greater threat to the Earth’s fragile environments.With the effects of anthropogenic induced climate change causing more extreme weather, the constant abiotic factors that hav e shaped our fragile environments across the globe face a deadly, permanent change. If we are to preserve any type of fragile environment at all, it could be argued that a universal effort to reduce our carbon footprint would be the most successful long term scheme to ensure the survival of the Earth’s biodiversity.

Thursday, November 7, 2019

Greek And Roman Art Essays - Ancient Greek Painting, Free Essays

Greek And Roman Art Essays - Ancient Greek Painting, Free Essays Greek And Roman Art Art has changed a great deal since it began many centuries ago. Centuries, however, are not necessary to notice the small changes that are evident even between cultures of similar times. Such is the case with the Greeks and Romans. Both cultures had exquisite pieces of art, but they were very different from each other. The amazing thing about art is that no matter how many differences exist, it is still beautiful in its own sense. There are also a number of similarities that are evident with these two cultures as well, but the point that will be focused on is the differences that are found between Greek and Roman art. The pieces that will be focused on from the Greeks are Black-Figured Psykter and Red-Figured Kylix Depicting a Young Athelete, and from the Romans are Mummy Portrait of a Man and Mummy Portrait of a Young Woman. The Roman Portraits are located at The Menil Collection in Houston. The Mummy Portrait of a Man is from the Fayum region in Egypt. It was painted about 150-200 B.C. It is painted in encaustic on wood, and is a Fayum portrait. The Mummy Portrait of a Young Woman is also from the Fayum region and painted in encaustic on wood. This portrait was painted about 150-200 B.C. The term Fayum portrait is actually derived from a Coptic word meaning The land of the lake, which refers to the artificial Lake Qarun. This lake was a project of the kings of the Twelfth Dynasty, and it was this lake that made a desert area of about 100 kilometers into one of the most fertile areas in Egypt. It was such an amazing feat that the lake still to this day provides this region water keeping it fertile. The purpose of the Mummy Portrait of a Man as well as the Mummy Portrait of a Young Woman was to identify the mummy. These portraits were paintings of the person that they identified. The edges of the paintings have paint missing, due to the fact that these portraits were placed over the face of the mummies. The fact that both the artists of these portraits are unknown is due to gravediggers and collectors. When a mummy was found, the main objective was to find out more about the mummy itself, and many times the paintings were disregarded and considered to be of no value. The technique used with Fayum paintings is called encaustic. This style of painting involves combining the paint with hot wax in order to obtain more resilient colors and also to be able to contrast light and dark better. The only problem with this style of painting is that the wax would get cold and dry up in a short period of time. The artists had to work quickly in order to keep the pigment wax mix wet and able to spread across the canvas or wood. In order to work faster, the painters used wide brush strokes not paying a great deal of attention to the fine lines and details. One major advantage of using the hot wax with the pigment is that the artist was able to capture a dark or thick appearance as well as a light appearance to the wood while keeping the paint smooth and silky looking. Because of the rushed way in which the portraits were painted allows for similarities between the two. The Portrait of a Man is at a slight angle as compared to the Portrait of a Young Woman, but l ooking beyond this fact and looking at close detail, it is easy to see the similarities between the ears of the man and woman in each painting. The eyes on both of the paintings are very similar as well. Both the man and the woman have their eyes deep set in their head, and appear to be staring out into space. Yet another similarity between the two is the eyebrows. Both the man and the woman are depicted as having thick eyebrows as well as a small mouth. Both portraits have long and thin noses. The portrait of the man, as said earlier, is set at an angle as compared to

Tuesday, November 5, 2019

The 17th Amendment to the US Constitution

The 17th Amendment to the US Constitution On March 4, 1789, the first group of United States senators reported for duty in the brand new U.S. Congress. For the next 124 years, while many new senators would come and go, not a single one of them would have been elected by the American people. From 1789 to 1913, when the Seventeenth Amendment to the U.S. Constitution was ratified, all U.S. senators were chosen by the state legislatures. Key Takeaways: The 17th Amendment The 17th Amendment to the United States Constitution provides for the election of senators by voters in the states they are to represent, rather than by the state legislatures and establishes the method for filling vacancies in the Senate.The 17th Amendment was proposed in 1912 and ratified on April 8, 1913. Senators were first elected by the people in Maryland in 1913, and nationwide in the general election of November 3,1914. The 17th Amendment provides that senators should be directly elected by voters in the states they are to represent, rather than by the state legislatures. It also provides a method for filling vacancies in the Senate. The amendment was proposed by the 62nd Congress in 1912 and adopted in 1913 after being ratified by the legislatures of three-fourths of the then 48 states. Senators were first elected by voters in special elections in Maryland in 1913 and Alabama in 1914, then nationwide in the general election of 1914. With the right of the people to choose some of the most powerful officials of the U.S. federal government seemingly such an integral part of American democracy, why did it take so for that right to be granted? Background The framers of the Constitution, convinced that senators should not be popularly elected, crafted Article I, section 3 of the Constitution to state, â€Å"The Senate of the United States shall be composed of two Senators from each state, chosen by the legislature thereof for six Years; and each Senator shall have one Vote.† The framers felt that allowing the state legislatures to choose senators would secure their loyalty to the federal government, thus increasing the Constitution’s chances of ratification. In addition, the framers felt that senators chosen by their state legislatures would be better able to concentrate on the legislative process without having to deal with public pressure. While the first measure to amend the Constitution to provide for the election of senators by popular vote was introduced in the House of Representatives in 1826, the idea failed to gain traction until the late 1850s when several state legislatures began to deadlock over the election of senators resulting in lengthy un-filled vacancies in the Senate. As Congress struggled to pass legislation dealing with momentous issues like slavery, states’ rights, and threats of state secession , the Senate vacancies became a critical issue. However, the outbreak of the Civil War in 1861, along with the long post-war period of reconstruction, would further delay action on the popular election of senators. During reconstruction, the difficulties of passing legislation needed to reunite the still-ideologically divided nation were further complicated by Senate vacancies. A law passed by Congress in 1866 regulating how and when senators were chosen in each state helped, but deadlocks and delays in several state legislatures continued. In one extreme example, Delaware failed to send a senator to Congress for four years from 1899 to 1903. Constitutional amendments to elect senators by popular vote were introduced in House of Representatives during every session from 1893 to 1902. The Senate, however, fearing the change would diminish its political influence, rejected them all. Widespread public support for change came in 1892 when the newly-formed Populist Party made the direct election of senators a key part of its platform. With that, some states took the matter into their own hands. In 1907, Oregon became the first state to select its senators by direct election. Nebraska soon followed suit, and by 1911, more than 25 states were selecting their senators through direct popular elections. The States Force Congress to Act When the Senate continued to resist the growing public demand for the direct election of senators, several states invoked a rarely-used constitutional strategy. Under Article V of the Constitution, Congress is required to call a constitutional convention for the purpose of amending the Constitution whenever two-thirds of the states demand it to do so. As the number of states applying to invoke Article V neared the two-thirds mark, Congress decided to act. Debate and Ratification In 1911, one of the senators who had been popularly elected, Senator Joseph Bristow from Kansas, offered a resolution proposing the 17th Amendment. Despite significant opposition, the Senate narrowly approved Senator Bristow’s resolution, largely on the votes of senators who recently had been popularly elected. After long, often heated debate, the House finally passed the amendment and sent it to the states for ratification in the spring of 1912. On May 22, 1912, Massachusetts became the first state to ratify the 17th Amendment. Connecticuts approval on April 8, 1913, gave the 17th Amendment the required three-fourths majority. With 36 of 48 states having ratified the 17th Amendment, it was certified by Secretary of State William Jennings Bryan on May 31, 1913, as part of the Constitution. In total, 41 states eventually ratified the 17th Amendment. The state of Utah rejected the amendment, while the states of Florida, Georgia, Kentucky, Mississippi, South Carolina, and Virginia took no action on it. Effect of the 17th Amendment: Section 1 Section 1 of the 17th Amendment restates and amends the first paragraph of Article I, section 3 of the Constitution to provide for the direct popular election of U.S. senators by replacing the phrase â€Å"chosen by the Legislature thereof† with â€Å"elected by the people thereof.† Effect of the 17th Amendment: Section 2 Section 2 altered the way in which vacant Senate seats are to be filled. Under Article I, section 3, the seats of senators who left office before the end of their terms were to be replaced by the state legislatures. The 17th Amendment gives the state legislatures the right to allow the state’s governor to appoint a temporary replacement to serve until a special public election can be held. In practice, when a Senate seat becomes vacant near the national general election, the governors typically choose not to call a special election. Effect of the 17th Amendment: Section 3 Section 3 of the 17th Amendment simply clarified that the amendment did not apply to Senators chosen before it became a valid part of the Constitution. Text of the 17th Amendment Section 1.The Senate of the United States shall be composed of two Senators from each State, elected by the people thereof, for six years; and each Senator shall have one vote. The electors in each State shall have the qualifications requisite for electors of the most numerous branch of the State legislatures. Section 2.When vacancies happen in the representation of any State in the Senate, the executive authority of each State shall issue writs of election to fill such vacancies: Provided That the legislature of any State may empower the executive thereof to make temporary appointments until the people fill the vacancies by election as the legislature may direct. Section 3.This amendment shall not be so construed as to affect the election or term of any Senator chosen before it becomes valid as part of the Constitution.

Saturday, November 2, 2019

Answer essay question Example | Topics and Well Written Essays - 500 words

Answer question - Essay Example Loving one’s self is inherent in most people. It is a human tendency to always look out for oneself and be self-centered in terms of gaining advantages and avoiding negative consequences. However, the bible commands to love one’s neighbor as one’s self. This means that individuals should look out for each other the way they look out for their own selves. Husbands, should love their wives the way they love their own selves, and even put their welfare over their own. The New Testament advocates for mutual submission and mutual service among married couples Implying that one is not in a position higher than the other and are equal in all ways. However, traditional gender roles of men and women indicate that men are more superior than women and women should bow to their husbands’ wishes. Men go out to seek livelihood to sustain the family while women stay home to care for the home and render service to their husbands and children. In contemporary times, gender roles are shifting to be more equitable for both genders, as women are now more empowered to assert themselves as capable of doing men’s roles and doing even men’s jobs. Due to these changes, there is an going battle between keeping traditional roles or adopting more modern gender roles, and in both, it loses the biblical essence of mutual submission and service. Lawler depicts human marriage as one based on a strong foundation of loyalty, service and obedience to one’s spouse and not only based on deep affection for him or her. It goes deeper than mere emotions towards another human being, and goes on to enact the love by serving the other and being steadfastly faithful. One should emulate how Christ loves his Church or people, as he not only serves them but has an unwavering faithfulness for them. The New Testament teaches that love in a Christian marriage entails fidelity and faithfulness to each other. It should be exclusive and permanent, therefore, indissoluble. This implies that