Saturday, August 31, 2019

Sit Ins

North Carolina was a place filled with discrimination and racism. There were places where African Americans couldn't eat or shop in the same stores. Although slavery was over, some of the feelings that whites felt towards blacks were still empresses. With that being said, on February 6, 1960, four young men that went to A university decided that they should make a stand against discrimination in their town. I can remember the day like yesterday. It was the middle of February when they people started talking about doing the next sitIn, I knew that I would be there taking a stand with the rest of my people. We went Into the diner and Immediately sat down at the counter as tables. When I mean that there were hundreds of people that came down to help support the movement. And It wasn't all blacks that supported, there were whites down there too who helped In the sit-ins. We sat there for hours on edge Just walling for someone to service us, but they just stared. For a long time they Just watched us Like we were aliens. They didn't know whether to be confused or angry. After some time had past, they had soon called the cops.And to the officers surprise, they were out numbered by a lot. They had to call for back up just to start to get us out. We made sure we stood our ground and made sure we kept our composure. It had gotten really bad too. People were throwing drinks at us, food, and anything else that they thought would provoke us into reacting in a negative way. The police officers started to get physical and violent and we weren't even do anything wrong. All we wanted was to be serviced and waited on. What's the difference between blacks money and whites? Just knew that this would be a part of a long process that will soon end with positive results.

Friday, August 30, 2019

Qualitative Research Project Essay

Introduction Since the 1990’s Racial Profiling has become a major issue in our society. There has been an abundance of court cases, killings and protests where people from the Black community feel that they are being harassed, stopped and questioned or arrested, simply for their outward appearance and look. Racial profiling for the most part has been linked to the police and their investigative methods. However racial profiling is not just limited to the police and their methods. Since 9/11 and the Iraq war racial profiling has become apparent in our view and beliefs against the Muslim/Islamic community. Summary My topic of discussion for my project is racial profiling and how it affects a certain socioeconomic group. The type of research that I will use in my project is the Qualitative Method, using Ethnographic research. By using this form of qualitative research you can target all aspects of the social settings and attempt to find out and describe how various parts fit together, where the Quantitative method would not be ideal because it mainly deals with numbers and statistics. In this type of research you need to have behavior and social qualities that numbers cannot measure. Ethnographic research is the best type of research to use for this issue of â€Å"racial Profiling† because â€Å"it is based on a broad perspective that emphasizes looking for the meaning attached to social setting by the participants. Ethnographic research is not confined to any method of data collection. But is typically is based on a small number of cases and depends on intensive open-ended interactions with them†. (Dorsten, L. 2014) Analysis The first article that I will analyze is â€Å"Racial Profiling and Police Subculture†. The article deals with is the practice of subjecting citizens to increased surveillance or scrutiny based on racial or ethical factors rather than â€Å"reasonable suspicion.† (Chan, J. 2011). The article touches on  how racial profiling is difficult to prove when dealing with the police and their investigative methods. The second article â€Å"Is Racial Profiling Just? Making Criminal Justice Policy in the Original Position†. This article discusses how racial profiling is addressed without using racism and with using racism. The author attempts to prove is racial profiling is just? Finally the third article titled â€Å"The Art of the Unseen: Three Challenges for Racial Profiling†. In this article the author attempts to express how racial profiling is analyzed using the moral status when dealing the costs and benefits involved in police investigative procedures. Methodology How does racial profiling affect the black community. Racial profiling affects the black community directly by police continually going outside of their way to stop, harass or arrest blacks simply by the fact that they look a certain way. It affects the black community indirectly because the black community knows or experiences racial profiling and no longer have complete trust of policemen. Hypothesis Through my research on the topic of â€Å"Racial Profiling† have noticed that there are many issues of the black community that are affected, be it by discomfort, senseless, irrational methods of police and society. Conclusion Racial profiling is a pervasive nationwide practice that federal and local law enforcement agencies use. Whatever type of racial profiling that is demonstrated is an unjust and ineffective method of law enforcement. There are now more laws, policies and procedures that are now in place to help alleviate racial profiling towards any type of race, origin or ethnicity. Becoming more aware of these issues will help and deter any type of unjust, unlawful type of discrimination towards anyone. References Chan, J. (2011). Racial Profiling and Police Subculture. 75-77. Dorsten, L. E. (2014). Research Methods and Society. Pearson Custom Library. Reiman, J. (2011). Is Racial Profiling Just ? Making Criminal Justice Policy in the Original Position. 1-5. Thomsen, F. K. (2010). The Art of the Unseen: Three Challenges for Racial Profiling. Department of Philosophy and Science Studies, 100-115.

Thursday, August 29, 2019

Distrigas Corporation Essay

Q1. As per the provided information the Gas Utility companies pays a base commodity charge of $. 3359 plus a peak usage demand of charge that is $4. 63 per Mcf multiplied by the total demand during the maximum take day in the last 12 months which is 240 in this case. The cost per MCF can be derived by the below formula (Commodity Base Charge * Total Demand) + (Peak Usage Demand Charge* High Peak in 1 day* months in year) This will translate into ($ 0. 3359*30,700,000 Mcf)+ ($ 4. 63*240*12) = $ 23,646,530 By substituting the appropriate values in the formula we arrive at a cost of $ 23,646,530. This cost is then divided by the total demand over 12 months of 30. 7 Bcfor 30,700,000 Mcf to arrive at an average cost per Mcf of $ 0. 7702 which is a 125% increase over the base charge $ 0. 3359. Similarly in a scenario where the peak demand is equal to the average demand of 84109. 59 Mcf we arrive at an average cost per Mcf of $ 0. 4881 which is a 45% increase over the base charge of $ 0. 3359. Q2. In order to determine the excess amount of gas that had to be bought from Distrigas we made an assumption that the demand was not normally distributed and in order to normalize it we removed the deviation of 18. 66 from the average of the independent demands over the three months to arrive at a normalized value of 178 (rounded off). The assumption is that the gas Utility companies will buy gas from Distrigas only if the demand goes aboce 178. Following this methodology the gas utility company will need to purchase 1801 MMcf from Distrigas to fulfill the peak demand. Filtering days that had excess demand we arrived at 74 days that required the Utility gas company to purchase gas from distrigas. The first phase of that purchase has to be from December 7th to 25th January and the second phase of the purchase should be from 5th February to 28th of February. The annual cost of the policy is attained by the total excess demand ( 1801 MMcf) multiplied by the cost per MMcf of $ 1660 to arrive at a cost of $ 2,989,660. By taking the average of the two cost per Mcf from question 1 we know that the cost per Mcf for regular gas supply is $ 0. 63. The amount of regular gas supply is derived by reducing the Distrigas excess demand gas supply from the total annual demand. These numbers are then used to arrive at a total cost of $ 25,248,978. 26 which results in a savings of $ 252,140 over using pipeline gas. Q. 3 Utility gains from the competitive price rate offered by Distrigas Corporation of $1. 66 per MCF when compared with the pipeline emergency gas rate of $1. 80 per MCG, which makes Distrigas price rate substantially cheaper than the pipeline gas rates. Utility is charged an excessive penalty for going above their planned gas volume by the gas providers. We can evidence this by simply comparing the prices during the peak demand, which is actually more than the average demand with the peak demand being the average demand. Calculating the Cost of Gas: Cost of Gas = (Base Commodity Charge)*(Total demand) + (12)*(4. 63)*(Peak 1 day demand) (Shown in table 1 Annual Cost Analysis) It should be an easy decision for utility to use Distrigas as its emergency gas provider when daily volume of the gas exceeds 178 MMCF (derived after taking the average of the demands for the three months and then normalized the demand variation by taking the Standard Deviation). With the given demand forecast numbers; utility will end up buying 1801MMCF of gas from Distrigas. We thought that using the concept of location pooling from risk pooling strategy would best suit this case study. We backed on this strategy because the objective of the risk pooling strategy is to redesign the supply chain and to either reduce the uncertainty the firm or to hedge uncertainty so that the firm is in a better position to lessen the consequence of uncertainty. This will convert into cheaper end consumer pricing. Location pooling is best suited for single product as it can be used to decrease the inventory while holding service constant, or increase service while holding inventory cost, or a combination of inventory reduction and service increase. However, the proposal A for Distrigas would cost only $29,376,000, or savings of $252,140. The annual cost of Distrigas policy is $21,172,397. 19. Distrigas strategy should be to maximize on its competitive rate and endeavor itself as a cost leader, promising speed delivery, reliability and meeting the right quantity when needed the most, all at most cost efficient rate possible. To be cost efficient it needs to operate economically such as storing the right amount of gas needed. It has to improve on its storage and deliver the gas in the best cost efficient using the right mode of transportation possible. The biggest threat could be when consumers like Boston Gas decide to build their own storage facilities and therefore start sourcing directly from the pipeline-gas providers, to be stored for usage during peak season. Q4. Proposal A: Slow Build up Strategy – In this proposal infrastructure will be built and machinery and trucks purchased to allow Distrigas to slowly build up inventories at the customer location. This strategy includes building a satellite tank which will serve as a reserve for the gas that is brought in by Alozean. It takes 250 days to build up inventories to satisfy peak demand. This model requires 6 trucks to carry the gas over the 250 day period. Field tanks will need to be built at the customer location in order to hold the gas that will service the peak demand and this will cost $ 25. 1 Million. This is one of the disadvantages of this strategy. The upside is that only 6 trucks are needed to operate on this strategy. Implementation of this strategy requires a total capital investment of $ 29. 376 Million and yields positive cash flows of . 325 (because of annual depreciation charges and tax rate of 50%) which shows that the project at a cost of capital of 9% has a Net Present Cost of $ – 26. 33 Million. Proposal B: Quick Build up Strategy – In this proposal peak demand for the Utility companies will be built by quickly sending gas to the companies based on peak season demand forecasts. This strategy will require 128 trucks to fulfill demand within a 10 day period.

Wednesday, August 28, 2019

Prostate Essay Example | Topics and Well Written Essays - 250 words - 1

Prostate - Essay Example The rectal assessment discloses an expanded prostate with an irregular shape, tenderness, and bogginess. Clinical presentation is used to diagnose acute prostatitis. Urine analysis and culture is used to test for uropathogens. Patients suffering from acute prostatitis and possess other risk elements such as chronic renal failure, and diabetes are more at risk for prostatic abscess (Resnick & Thompson, 2000). Treatment in acute prostatitis includes antimicrobial treatment combined with drainage through the urethra by transurethral resection of the prostate, through the rectum by aspiration and perineaum by aspiration (Shoskes, 2008). I agree that Benign prostatic hyperplasia is an illness where there is unusual expanding of the prostate gland. The risk elements in this condition include dietary aspects, alcohol, metabolic syndrome, sexual activity, age and presence of flowing androgens (Bachmann & Rosette, 2012). The signs and symptoms consist of incomplete voiding, straining to void, frequent urination, nocturia, problem in beginning urine stream and dribbling. According to the American Urological Association, the diagnosis includes a blood test, bladder test, measuring post-void residual volume, cystoscopy, ultrasound and urodynamic pressure (Urology Care Foundation, Inc. 2014). Treatment of benign prostatic hypertrophy includes ÃŽ ±1adrenoceptor antagonists for signs related to obstruction of the lower urinary tract. In this particular case, the doxazosin is most suitable (Kirby, McConnell, Fitzpatrick, Roehrborn, Wyllie & Boyle, 2005). The other drugs that are appropriate are 5-alpha reductase inhibitor, com bination medications, alpha blockers and phosphodiesteras-5 inhibitors (NIH Publication, 2014). I agree that Prostate cancer is the most killer disease in men. The risk aspects comprise of environmental and genetic factors. Some risk factors cannot be managed for example family history of prostate

Tuesday, August 27, 2019

THE NOTION THAT THE SOVEREIGN TERRITORIAL STATE CAME TO DOMINATE Essay

THE NOTION THAT THE SOVEREIGN TERRITORIAL STATE CAME TO DOMINATE INTERNATIONAL POLITICS FOLLOWING THE PEACE OF WESTPHALIA IS A MYTH - Essay Example Having begun in May 1618, the series of wars involving the Austrian Monarchy, the Holy Roman Empire and practically the whole Europe, which became known as the Thirty years’ War, was brought to an end by the Treaty of Westphalia, aka the Westphalian settlement – complex two-part parallel negotiations concluded in October 1648 (Williams, 1980; Watson, 1992). Osiander (2001) points out that, according to the standard view, the Thirty Years’ War had been a struggle between two main parties. On the one side there were the Emperor of the Holy Roman Empire and the Spanish King, both being members of the Habsburg dynasty and loyal to the Pope and the Catholic Church (Osiander, 2001). On the other side there appeared the protestant kings of Denmark and Sweden, the King of France, Protestant German princes, the Dutch Republic etc., who presumably rejected the imperial power, along with the authority of the Pope, defending instead the sovereignty of all states (Osiander, 2001; Watson, 1992). The end of the Thirty Years’ War, as marked by the Peace Treaty of Westphalia, is widely regarded as the start point for of the international system (Osiander, 2001); Gross (1948), for example, writes that the Peace of Westphalia has had a lasting influence on international law and policy for over three centuries. In other words, as Watson (1992) points out, the Westphalian settlement not only legitimised â€Å"a commonwealth of sovereign states†, being a triumph of the state â€Å"in control of its internal affairs and independent externally†, but also was held to provide a fundamental and comprehensive charter for Europe. Nevertheless, there are rather different verdicts, like the one of Dame Veronica Wedgwood, stating that â€Å"the peace was totally ineffectual in settling the problems of Europe† (Watson, 1992). This paper reviews the achievements of the Treaty of Westphalia, which constituted the â€Å"Westphalian† system, or framework, with the concept of sovereignty at its core (Osiander, 2001), to establish whether it was so successful in bringing about a new world order that eventually brought about the birth of the United Nations. Historical Background The Holy Roman Empire was founded in the year 800 AD when the Frankish king, Charlemagne, was crowned by Pope Leo III (Wilson, 2011). Emperor Charlemagne greatly expanded the Empire’s territory to the east, especially along the Baltic shore; thus, by the late fifteenth century, the core area of the Empire covered that of modern Germany and Austria, as well as Luxembourg, Belgium and the Netherlands (Wilson, 2011). The Empir e formally included Switzerland – although its exact constitutional position had been a matter of certain controversy – as well as the kingdom of Bohemia (the territory of present-day Czech Republic) with its dependencies of Moravia, Lusatia and Silesia; along with Lorraine, Alsace and other areas to the west (Wilson, 2011). Additionally, the cities and principalities of Northern Italy constituted a region known as Imperial Italy, which was formally part of the Empire (Wilson, 2011). The Catholic Church and the Pope had played a vital role in the Holy Roman Empire from its very inception, being the supreme authority in religious matters (Wilson, 2011; Munck, 2005). After the death of Emperor Charlemagne, the vast territory of the Holy Roman Empire had been divided into separate regions, namely Germany, France, and Luxembourg, Belgium, and the Netherlands (Wilson, 2011; Munck, 2005). During the following centuries, the composition of the Holy Roman Empire had been a loo se configuration of more than three hundred principalities, alongside nearly one thousand political units with quasi-autonomous power, including free imperial cities (Munck, 2005). Thus constituted, the Holy Roman Empire is described by some historians as an â€Å"

System analyst Career Managment Essay Example | Topics and Well Written Essays - 1000 words

System analyst Career Managment - Essay Example This would be my short term goal. Strong analytical and problem-solving abilities are fundamental skills needed for Systems Analysts (Fisher, 2007). Good communication skills are likewise important, because analysts need to explain complex technological concepts and models to management or clients (Fisher 2007). Working with clients requires good people skills. Most systems analysts possess an I.T. related bachelor’s degree such as computer science or information technology. Two years ago, I was able to secure a job as a Sales/Repair in an Internet Cafe in South London. My work included working with different equipments including computers. The experience enhanced my knowledge of computers. I have also worked as a teacher of students of all ages in summer school (2003). The experience exposed me to dealing with people from different backgrounds. In addition, I was chairman for a youth organisation in Stockholm Sweden for a year (2005-2006). This youth organisation, run by the youth themselves, chose me as a chairman because, according to them, they believed I have the right skills for the job. This experience developed my leadership skills because it gave me the self-confidence and determination. My personal assessment is that I am a good listener and I take criticisms constructively. Listening is an important trait of a good leader. My listening skills were developed through active participation in group projects in school. I believe this experience is important to my future career as a systems analyst as it has developed my ability to work with other people. Furthermore, the ability to listen and communicate well with other people is one key trait that a successful systems analyst possesses (Morn 2005). As far as my weaknesses are concerned, I feel that my written communication skills could be improved. Written communication will be important in the attainment of my career goals. For example, it will be useful

Monday, August 26, 2019

Constitutional Law Master Essay Example | Topics and Well Written Essays - 1000 words

Constitutional Law Master - Essay Example There is no technical difference between ordinary statutes and law considered "constitutional law." Therefore the Parliament of the United Kingdom can perform "constitutional reform" simply by passing Acts of Parliament and thus has the power to change any written or unwritten element of the constitution. The constitution is based on the concept of all sovereignty ultimately belonging to Parliament (Parliamentary sovereignty), so the concept of entrenchment cannot exist. The lack of a central written constitutional document explaining the fundamental principles of the state and relationship between its institutions and between the people leads some constitutionalists to regard the United Kingdom as having "no (formal) constitution." The phrase "unwritten constitution" is sometimes used, despite the fact that the UK constitution incorporates many written sources, statutory law being considered the most important source of the constitution. But the case remains that the constitution re lies far more on unwritten constitutional conventions than virtually every other liberal democratic constitution. Conventions as a source of constitutional rules have been widely acknowledged. Regardless of whether a country possesses an unwritten1 or a written constitution, constitutional conventions usually play an important role in regulating constitutional relationships among different branches of government. A common definition of constitutional conventions is: "By convention is meant a binding rule, a rule of behaviour accepted as obligatory by those concerned in the working of the constitution."2 Law and constitutional conventions are closely related. Constitutional conventions presuppose the existence of a legal framework, and do not exist in a legal vacuum. For example, in the UK, the constitutional conventions of forming a Cabinet presuppose the laws relating to the Queen's royal prerogative, the office and powers of Ministers, and the composition of Parliament.3 A difference between law and constitutional conventions is that laws are enforceable by the courts, but constitutional conv entions are not enforced by the courts. If there is a conflict between constitutional conventions and law, the courts must enforce the law. In some countries, such as the United Kingdom (UK) and Canada, the courts acknowledge the existence of constitutional conventions as aids to judicial interpretation.4 Academics consider that such acknowledgement may at 1times appear to be similar to enforcement.5 The constitution ... is seen to consist of two different parts; the one is made up of understandings, customs, or conventions which, not being enforced by the courts, are in no true sense of the word laws; the other part is made up of rules which are enforced by the courts, and which, whether personified in statutes or not, are laws in the strictest sense of the term, and make up the true law of the constitution. This law of the constitution is, as we have further found, in spite of all appearances to the contrary, the true foundation on which English polity rests, and it gives in truth even to the conventional element of the constitutional law such force as it really possesses. First, as constitutional conventions can easily be adapted to new circumstances arising, they are therefore frequently used as a means of bringing about constitutional development, provided that those constitutional co

Sunday, August 25, 2019

Human resource management for public and nonprofit organizations Essay

Human resource management for public and nonprofit organizations - Essay Example The Fair Labor Standards Act of 1938 is a federal statute of the USA, which governs job compensation. Its main provisions deal with minimum wages, overtime pay, equal pay and child labor rules. It also requires employers to keep records of the hours the employees have worked. In addition, the Act divides employees into exempt and non-exempt workers. Title 29, Chapter V, Part 541 of the Code of Federal Regulations (1993) defines exempt employees as those who spend 80 percent of their work time performing administrative tasks as their primary responsibility, executive tasks (exercise discretionary decision-making, manage and regulate organization’s work), or professional duties that require outstanding or advanced skills or knowledge (272). State and local governments are not bound by federal minimum wage requirements. Nevertheless, they can require only the same or higher than the federal minimum wages. Though many people do agree with such a state of things, many oppose it. Opponents of comparable worth claim that pay disparities are a result of supply and demand trends, and that the value of labor should be calculated on a scale of socioeconomic value. On the contrary, the advocates of comparable worth believe that labor market rates are not entirely objective. In fact, the federal courts have not recognized comparable worth under the Equal Pay Act or the Civil Rights Act of 1964. Still, various legislative bodies have acted to remedy pay disparities across jobs of similar value to organizations (277 - 278). To sum up, the Director of HRM should know that compensation systems should be designed in such a way that they will attract, motivate, and retain proficient employees. There is a number of factors that defines salaries paid to the employees of public and nonprofit organizations. Market factors influence external equity, while job evaluation or job worth influences internal equity. Since the hiring criteria for public and

Saturday, August 24, 2019

Buddhism Research Paper Example | Topics and Well Written Essays - 250 words

Buddhism - Research Paper Example The region of Buddhism unlike its predecessor Confucianism was able to directly address the concept of human suffering. This is what led to its wide appeal for the Chinese populace since they were undergoing a lot of suffering due to disease, displacement and scarcity of food. There was a lot of infighting between the broken state and the people of China at the time were dealing with a lot chaos and disunity. This was due to the warring states who were vying for supremacy after the fall of the Han dynasty. The Han dynasty had been so powerful and every subsequent and hopeful successor of the now divided state desired to have its glory and power. The religion of Buddhism is still very strong despite Chinas official shift to atheism. This is in spite of Communist attempts at stamping out religion when they took control of China in 1949. Buddhism continues to grow in China most especially after the economic reforms in late eighties. (PARKER, 1905) The Buddhism that took hold in China is Mahayana form of Buddhism .In it are which variations within Mahayana Buddhism such as Zen Buddhism, Pure Land Buddhism and Tibetan Buddhism (Lamaism).The Mahayana believes in the broader interpretations of Buddha’s teachings. This is in contrast to the more abstract philosophical nature present in Theravada Buddhism. The Mahayana Buddhists also belief in more contemporary Buddha’s like Amitabha. The Theravada Buddhists are against those beliefs so do not belief in the contemporary Buddha. The Buddhisms popularity also led to the quick conversion to Buddhism by later Chinese rulers (JETTY, 1914). These rulers made Buddhism into a state religion. The subsequent Sui and Tang Dynasties also all adopted Buddhism as their religion state religion. The foreign rulers of China were also not to be left out in their pursuit and practice of Buddhism such as the Yuan Dynasty and the Manchu’s dynasties. They did this in order to connec t with the Chinese populace and

Friday, August 23, 2019

What does it mean to study management critically Essay - 1

What does it mean to study management critically - Essay Example There are also various terms associated with management such as scientific management, human resource management, knowledge management among others. In organisations, it is mostly used to mean the relationship between those in the higher levels of the hierarchy or employer and employees. So why do we need to study management critically? I will argue that there is need to study management critically due the rise in globalisation which is rapidly changing the nature of work and management. Secondly, management and organisation as Minzberg (1971) asserts affects all aspects of our lives thus a need to understand what it entails and how it can be made effective leading to orderly society. Thirdly, the managers need to be self-critical in order to perform their roles successfully and this needs critical analysis of what their roles entail, how they are supposed to behave and relate with their environment. In the first section, I shall outline how the management concept has evolved over time and how it impacts on organizations and workforce. In achieving this, I shall draw on ideas from Bakan (2004); Linstead, Fulop and Liley (2009) and Jackall (1988). In the second section, I shall demonstrate the benefits of management as well as the negative outcomes associated with it to show that one can be critical of management wi thout necessarily being against it as the critical management studies do (Clegg, Kornberger, Carter & Rhodes, 2006; Edwards & Wajcman (2005); Mintzberg, 1971; Parker, 2002). In the third section, I shall demonstrate the role of being critical in own management and what it means to be critical. I shall then conclude with a brief summary. The Management concept has evolved over a long period of time prompted by changing nature of the economic systems from feudalism to capitalism and recently to a knowledge economy. According to Linstead et al (2009), work in traditional societies or feudal societies was done by hands; for

Thursday, August 22, 2019

Report on Housing Prices Statistics in Oregon from a Sample of 108 Houses Essay Example for Free

Report on Housing Prices Statistics in Oregon from a Sample of 108 Houses Essay From the eleven variables identified, area of living space in the house (sq_ft), age of the house in years (age) and selling price of the house in thousand dollars (price) were identified to be in the ratio scale for the level of measurement while number of bedrooms (beds), number of bathrooms (baths) and number of spaces for cars in the garage (garage) were identified to be in the ordinal. Lastly, the variables architectural style (style), school district were the house is located (school), method of heating the house (heat), presence of fireplace (fire) and presence of basement (basement) were identified to be in the nominal scale. These levels of measurement were the basis on what type of tests were done for the different analyses (See Appendices for table 1). On all the tests and comparisons with p-values, a 95% level of confidence is used. Descriptive Statistics on the Variables With the results gathered, most of the houses use the gas forced air method of heating. Out of the 108 houses, 96. 3% use this method while only 3. 7 use the electric baseboard heating. Also, most houses are of ranch architecture. Of the 108 houses, 40. 7% are of this architectural style, 36. 1% are of the tri-level style while 23. 1% are of the two-story type. Moreover, 84. 3% of the houses have basements. Similarly, 88. 9 of them have fireplaces. Lastly, the largest part sampled houses are located in the Apple Valley School District. From the 108 houses, 60. 2 are located in this school district while the rest are in Eastville (See Appendices for tables 2, 3, 4, 5 6). For the ordinal variables, the median number of bedrooms in the house is four which means that fifty percent of the houses have less than four bedrooms while the rest have more than four bedrooms. Similarly, fifty percent of the houses have less than three bathrooms while the other fifty percent have more than three bathrooms. In the number of spaces for cars in the garage, fifty percent of the houses can accommodate no more than two cars while the other fifty percent can. From the sample, most of the houses have three bedrooms, three bathrooms and can accommodate two cars. Since these three variables are rank variables, the means for each cannot be computed (See Appendices for tables 8, 9, 10 11). For the ratio variables, it was found out that the mean selling price of the house in Oregon is 97. 99226 thousand dollars. With a relatively small standard error of 2. 543183, the statistic for the selling price is considered accurate. Fifty percent of the houses are priced below 92. 46950 thousand dollars while the other 50% have selling prices greater than 92. 46950 thousand dollars. Having a variance of 698. 520, the data from the sample are considered to be extremely dispersed. On the average, the selling price of a house in Oregon deviates by 26. 429529 thousand dollars from the mean selling price of the house generated from the sample. The mean area of living space in the house in square feet is 1745. 72. However, the standard error of the mean, which is 42. 836, is sufficiently large. The data values for this variable are the most dispersed among the three ratio variables having a variance of 198173. 39. Fifty percent of the samples houses have areas which are below 1758. 00 square feet while the other fifty have areas greater than 1758. 00 square feet. On the average, the area of living space in the house deviates by 445. 167 square feet from the mean. For the last ratio variable, the mean age of the house in years is 11. 23. Having a standard error of 0. 448 which is very small, this statistic is considered accurate. Fifty percent of the sampled houses are below 11 years of age while the rest are more than 11 years of age. The distribution of the variable is not that dispersed. With a variance of 21. 675, the age variable is the least dispersed among the three ratio variables. On the average, the ages of the houses deviates from the mean by 4. 656 years only (See Appendices for table 13). Summing up the descriptive measures obtained on the eleven variables, a typical home in Oregon has an area of 1745. 72 square feet, approximately 11 years of age, has four bedrooms, three bathrooms and can accommodate two car spaces in the garage. Furthermore, it is of ranch architecture and uses the gas forced air method of heating. It has a basement and a fireplace. It is located in the Apple Valley School District and its selling price is 97. 99226 thousand dollars. Correlation From the scatterplots, the selling price is identified to have a positive linear relationship with area of living and a negative, close to nonlinear relationship with age of the house (See Appendices for figures 12 13). Since the data do not follow the normal distribution Spearman’s rho was used to determine the correlation between the dependent variable, price, and the other ratio scale variables (See Appendices for table 24). With a correlation coefficient of 0. 828, there is a positive very strong linear relationship between the selling price and area of living space in the house. Moreover, even if there is a negative weak linear relationship between selling price and age of the house in years, both the correlations of selling price with area and age are significant with p-value equal to 0. 000 (See Appendices for tables 14 15). Also, though there is a negative weak linear relationship between the ratio variables age and area for the -0. 292 Pearson correlation coefficient, the 0. 000 p-value says that the correlation is significant. Pearson correlation was used for the two ratio variables because both are normally distributed (See Appendices for table 22). For the ordinal variables, all of them have a significant correlation with selling price with p-values 0. 007, 0. 000 and 0. 000 for number of bedrooms, number of bathrooms and number of car spaces in garage, respectively. The number of bedrooms in the house has a positive weak linear relationship with selling price having a correlation coefficient of 0. 259. Moreover, the number of bathrooms in the house has a positive strong linear relationship with selling price having a correlation coefficient of 0. 675. Also, the number of spaces for cars in the garage has a positive moderate linear relationship with selling price having a correlation coefficient of 0. 475 (See Appendices for table 16). Among the ordinal variables, the number of bedrooms and number of bathrooms, and the number of car spaces and number of bathrooms has a significant correlation, with p-values equal to 0. 000 and 0. 003 respectively, and has a positive weak linear relationship, with correlation coefficients of 0. 358 and 0. 283 respectively (See Appendices for table 23). Among the nominal variables, only the architectural style has a positive moderate association with selling price having an Eta coefficient of 0. 485 (See Appendices for table 18). The rest has either weak or very weak associations with selling price (See Appendices for tables 17, 19, 20 21). For the two categories of method of heating, it was found out that the use of gas forced air in the house, presence of basement and presence of fireplace increases the selling price of the house. The school district location also affects the selling price. Houses located in Apple Valley School District tend to have higher prices than that of Eastville School District. Moreover, there are no significant differences on the selling prices of houses with tri-level and two-story architectural style. However, houses that are of ranch architectural style tend to have higher selling prices than that of the tri-level and two-story architectural styles (See Appendices for tables 31, 33, 35, 37, 39, 41 43). Predictors of Selling Price Using the regression model, the selling price of a house, when all other factors are held constant, decreases by 16. 113. The interpretation for the intercept is significant since the confidence interval of the estimate includes zero. Holding other factors constant, the selling price is estimated to increase by 0. 042 thousand dollars for every square feet increase in the area of living space of the house. Also, there is an estimated increase of 3. 269 thousand dollars on the selling price for every unit increase in the number of bedrooms holding other factors constant. The selling price is estimated to increase by 13. 876 thousand dollars for every unit increase in the number of spaces for cars in the garage holding other factors constant. Similarly, an increase of 6. 953 and 4. 269 thousand dollars on selling price is estimated if there is a basement and a fireplace, respectively, in the house. The selling price is also estimated to increase by 4. 874 thousand dollars if the house is located in Apple Valley School District with other factors held constant. Furthermore, the selling price is estimated to increase by 11. 053 thousand dollars if the house is of ranch architectural style holding other factors constant. If the house is of a two-story type, there is an estimated increase of 1. 714 thousand dollars. If the architectural style is tri-level, then the value to be multiplied with the beta estimates for two-story and ranch will be equal to zero since the coded value for tri-level in the dummy variables is zero (See Appendices for table 44). With a Durbin-Watson statistic of 1. 746, then the residuals are independent. Having an adjusted R square of 0. 820, the variation in the selling price of the house can be explained by the eleven variables. A mean square error of 126. 070 implies that the sum of the squared deviations of the selling prices to the true value is relatively small. With a computed F statistic of 45. 169 and a corresponding p-value of 0. 000, then the regression adequately represent the data and can be useful for prediction (See Appendices for tables 45 46). To test, given the following data on a certain house: two-story house with 1600 square feet, 3 bedrooms, 2 baths, a one car garage, gas heat, a basement, no fireplace, is 9 years old, and is in the preferred school district, then the predicted selling price of the house is 60. 804 thousand dollars. Summary The larger the area sizes of the living space of the house, the more expensive the selling price. Also, more number of bedrooms and spaces for car in the garage would also increase the selling price. In terms of architectural style, the ranch type would increase the selling price of a house most than the other two styles. Finally, the house with a basement, a fireplace and which is located in the Apple Valley School District increases also the selling price.

Wednesday, August 21, 2019

A Scary Place in Louisiana Woods Essay Example for Free

A Scary Place in Louisiana Woods Essay More than five years ago, I went with a batch of friends to one of the villages in Louisiana.   Being born from the far-end south of the state of [your state], it was the first time I had a great view of the vast, green meadows of the plain.   It was springtime, and we were having fun going around the brooks and the woods that are really prevalent in those areas.   We were eight friends all in all, and we were to stay there for almost a week. It was fun and everyone just brought food and drinks and all that we can bring along to have a really wonderful time.   The place looked gorgeous†¦ except that we had no idea—or ‘I’ had no idea—that the woods would not really be that gorgeous at all.   I was somebody born to the city, and to go to places that are certainly silent did not bring anything to my mind but the thought that it would be the best spring I could have ever imagined!   I was wrong.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The first three days in the cottage were really pleasant.   Our group went to and fro the green oaks there, and I got tired counting all the oak trees that were positioned so neatly along the roadside.   The pines were more difficult to count, I thought.   It was one of the many times I walked to the winding path amid the grass and the trees.   I didn’t know why but I just loved the feeling nature has brought in to me; yet it was not so hot because trees usually blocked the sunlight, and there was a sway of some wind, as proven by the branches. To my left was a swooping valley of green grass, and to my right there was nothing I saw but three things: trees, trees, and trees!   I enjoyed the feeling of not being alone but then wondered, was I alone?   I felt that I was not.   I called out to my friends: no response.   God forbid but I left my cellphone on the chair just before I went out for a walk.   I thought Billy was with me but now I can’t see or hear anyone, and I guess I’ve been walking for more than an hour already.   I stopped walking.   If I’d been walking for, let’s say, two hours, then it could be nearly six o’clock, which is why the woods have, indeed, become dimmer and a bit misty. Well, where was I?   I can see the brook northward, the pine valley far eastward, big oak trees westward, and just piles of grass southward.   I heard something moving between the branches somewhere in the far-side end of the brook.   Looking at the big oak tree stapled like a tower behind the brook, what did not enter clearly to my head entered clearly to my eyes: the picture of a handful of fire glaring fiercely red and floating mysteriously in the air just in front of that oak!   And it was moving so slowly to my direction, making me step back relentlessly to thump with a sudden jump southward to where I just came from. A big black dog greeted me at my back, and what was really terrifying was that it had the eyes of man—the expression, the look†¦ was that of a man.   I whispered a silent prayer and ran as fast as I can.   Never would I roam around an unfamiliar site of woods with no one but me to rely on in facing my adversary and my fear.   I felt angry that my friends have left me alone when they knew I was new to this place.   Thank God that black dog did not run after me but just stared at me right at my face.   I could’ve fainted if it had run after me to my grave†¦ What the incident taught me about fear is that, at a time of fear, there really is no one to stand for me or with me but myself.   I perceived fear when I realized that I was alone in an unknown place, with no one to hear me even if I shouted for help.   I perceived fear when I saw things (i.e., floating fire) that are not the usual things I saw in my everyday life: things that are truly mysterious, strange, and unexplainable. I perceived fear when I imagined things that could have happened, such as what I imagined the black dog could have done.   Fear sprouts at times when we encounter strange things that stir strange sensation amid a strange environment.   I feared that the perceived fear would enkindle worse things and events that I remembered only seeing in the television.   I feared that what I perceived as fear would turn into something more than mere fear.   I perceived fear†¦ and it was right to my own eyes!

Tuesday, August 20, 2019

Use Of Karyotype Analysis In Genetic Counseling Biology Essay

Use Of Karyotype Analysis In Genetic Counseling Biology Essay Complete set of metaphase chromosome is called karyotype. It is widely used to detect the chromosomal abnormalities that are related to the genetic diseases and various type of cancer. As the biomedical science advances, various kinds of techniques are used to analyze the human karyotype. These karyotype analysis are widely used in genetic counseling to minimize the risk of having unfortunate. By doing so, individual and families are realized to implement the genetic testing. In genetic counseling, knowledge of karyotype analysis is greatly determined the inheritable diseases including cancer. Moreover, Pedigree construction based on Mendelian principles is used in old days to know the pattern of inheritance. In recent year, FISH (fluorescence in situ hybridization), PCR (polymerase chain reaction), CGH (comparative genomic hybridization) and SNP (single nucleotide polymorphism) arrays are developed for the promising future of human genetics. Among them FISH is the most currently diagnostic tool for the various chromosomal aberrations that can be visible in karyotype analysis. The most tested chromosomes are 13, 18, 21, 22, X and Y that account for 85% of chromosomal abnormalities (Rodrigo et al., 2010). But now, genetic scientists have been carried out the approaches towards all chromosome analysis. On the other hand, the high risk society is greatly interested to do pre pregnancy counseling to reduce the inheriting defective gene for the next generation . Therefore, use of karyotype analysis is more and more improved in genetic counseling for the screening and diagnosis as well as the treatment and prevention. Karyotyping Karyotype construction and analysis is the powerful diagnostic method to identify the chromosomal studies in human genetic. Karyotyping is usually done at the metaphase of cell cycle in which the chromosome structure is the most condensed. Therefore, it is also known as complete set of metaphase chromosome (Nie et al., 1998). There are 46 chromosomes in human (22 autosomes and sex chromosomes). Karyotype show the number of chromosomes, the sex chromosome content, the presence or absence of individual chromosomes and the nature and extent of any structural abnormalities. Karyotyping can be accessed under a microscope to examine the number and structural variants which must be size of 3 Mb or more. Only DNA sequencing can be observed smaller alterations (Klein and Tibboel, 2010). Chromosomes in human karyotype are categorized into seven depend on their bands after staining procedure. Each group is arranged into A to G defined by size and centromere position. These banding patterns help to identify specific defect regions on the chromosome. Thus, the any defect in chromosome region can be described as an accurate address. For example; 1q2.4 defines as chromosome number 1, q arm, region 2 and the banding 4 (Trask, 2002). Method For karyotype construction, the specimen can be taken from the white blood cell, skin cells, amniotic fluid cells and the chorionic villus cells. Then the cells are prepared to enter the mitosis and arrested in the stage of metaphase. Moreover, these preparations are treated with trypsin and staining to get the banding pattern. After that, video camera attached microscope directly send the images to the computer to generate the karyotypes (Yang et al., 2000). Generally, it could be used to determine if chromosome of an adult have abnormality or defect that can be passed on to a child. The origin of complex chromosomal defect is identified by using standard G-band procedures, fluorescent staining and fluorescent in situ hybridization (FISH) and comparative genomic hybridization (CGH). FISH is a recent technology to detect the specific chromosome structure by using particular DNA probes. This method is more accurate and enables to see the micro-deletion and exact break point involved in each chromosome (Ligon et al., 2997). Doing the karyotype analysis is benefit in pregnant women at the age of 35 and having the history of previous child with defect. Because of the risk of chromosome abnormalities dramatically increased in advanced maternal age and if the mother is an X-linked carrier, the recurrent risk is 1 to 2%. Therefore, antenatal screening tests including karyotyping are carried out to a defined population who are at risk of having a specific condition. Different tests are done in different stages of pregnancy. Chorionic villus sampling is offered at 11-12 weeks of pregnancy, Amniocentesis is done at 16 weeks and fetal blood sampling is carried out at 18-22 weeks of pregnancy. Although these all procedures are having risk of miscarriage, they are suitable for the chromosomal and DNA analysis (Callen et al., 1988). Especially, for the detecting of trisomies in chromosome 13, 18, 21, X and Y which account for more than 85% of all fetal aneuploidies. As a benefit, if a couple with a known risk to offspring, they can choose options to avoid or plan further pregnancy. If the male partner is affected, the couple has option for artificial insemination of sperm from a donor. If the female is affected with a dominant condition or X-linked carrier, the couple has option for egg donation from another female. Moreover, the relatively new procedure is pre-implantation genetic diagnosis. Initially, this process requires in vitro fertilization. If the fertilization occurred, one cell is removed from the stage of blastocyst and then investigated for the chromosomal disorder. If there is no defect, it will be returned to the uterus (Fukuda et al., 2007). In the molecular genetics, DNA testing is divided into four main categories which are diagnostic testing, carrier detection, pre symptomatic testing for adult onset diseases and prenatal diagnosis. In the genetic counseling, karyotype analysis is widely used in carrier detection incase of balanced translocation carrier, autosomal dominant recessive, X-linked female carrier disorder in order to evaluate the risk of having an affected child. Furthermore, karyotyping can be used as a pre symptomatic or predictive test in some individual who are at risk of an adult onset disorder to determine whether or not they carry the mutated gene for these disorders. This test is value for autosomal dominant condition because of having a chance is 50% if one parent is affected. For example, familial adenomatous polyposis, colon cancer, Huntington disease (Bodmer et al., 1991). Chromosomal aberrations Abnormalities of the chromosomes, these are large enough to be visible under the light microscope are termed chromosomal aberrations. They are usually classified into numerical abnormalities and structural abnormalities. Numerical aberration is the disordered of chromosome due to error in separation of chromosome in cell division. Aneuploidy represents gain or loss of a specific whole chromosome due to failure of paired chromosome in meiosis. The one with extra copy of chromosome is called trisomy and the one with missing copy of that chromosome is called monosomy. These can be seen either autosome or sex chromosome. Autosomal trisomy will result in early miscarriage and monosomy of an autosomal chromosome is not compactable with life. Autosomal trisomy is associated with increased maternal age (Harper et al., 1995). Similarly, polyploidy represents a complete extra set of chromosomes due to fertilization by two sperms (dispermy) or failure in maturation divisions of either the eggs or the sperm. For examples, triploidy and tetraploidy depending on the number of extra sets of chromosomes. Triplody occurs in 2% of all conception but early spontaneous abortion is usual (Munne and Cohen, 1998). The most commonly seen autosomal aneuploidies are trisomy 21-Downs syndrome (47, XX, +21 or 47, XY, +21), trisomy 18-Edwards syndrome (47, XX, +18 or 47, XY, +18), trisomy 13-Pataus syndrome (47, XX, +13 OR 47, XY, +13). Sex chromosomal aneuploidies are Klinefelter syndrome (47, XXY), XYY syndrome (47, XYY), Triple X syndrome (47, XXX) and Turner syndrome (45, X). Autosomal monosomy is mostly lethal and autosomal trisomy is relatively more common (Rodrigo et al., 2010). The commonest autosomal trisomies are Downs syndrome, Patau syndrome and Edwards syndrome. The kayotype of Downs syndrome is 47, +21, an extra copy of chromosome 21. It occurs in 1 in 900 live births and leading cause of childhood mental retardation and heart defect (Wald et al., 1997). Patau syndrome is usually found at the time of doing cytogenetic analysis in malformed children. It also revealed extra chromosome at chromosome number 13 (47, +13) (Rasmussen et al., 2003). Another trisomy is the Edwards syndrome (47, +18). It accounts for a frequency of 1 in 11,000 live births (Massiah et al., 2008). Aneuploidy of the sex chromosome Aneuploidy of the sex chromosomes is more common than the autosomal aneupolidy but have less impact. Unlike the autosome, monosomy for Y chromosome is always lethal whereas monosomy for the X chromosome is a viable condition. The commonest syndromes that have ever seen in clinical setting are Turner syndrome, Klinefelter syndrome, Triple X syndrome and XYY syndrome (Smith et al., 1960). Monosomy of X chromosome results in 45, X karyotype due to non-disjunction in either parent. It is estimated that 1% of all conception from which 95 to 99% of all 45, X embryos die before birth. They have significant defect in height, sexual development and fertility but there is no mental retardation (David et al., 1986). The karyotype of Klinefelter syndrome is 47, XXY. The extra X chromosome of maternal origin is 56% and paternal is 44%. It is usually arise from non-disjunction at either the first or second meiotic division (Lamb et al., 1996). For example, if the father produces XY sperm that is cross over with maternal X ovum to produce XXY. This is the single commonest cause of hypogonadism and infertility in male. Overall the birth incidence of 47, XXY is 1 in 1000 male with an increased risk at maternal age and azoospermatic infertile males (Steinberger et al., 1965). And the karyotype of super female syndrome is 47, XXX which also known as triple X syndrome. It is usually appears as clinically normal but 15- 25% are mildly mentally handicapped. About three quarter of the affected females is fertile of which one- half of their offspring would expect to have this syndrome (Michalak et al., 1983). Furthermore, another karyotype defect associated with personality disorder is 47, XYY syndrome. It is firstly noted in 1965 cytogenetic survey in male for violent and dangerous antisocial behavior and about 4.5% of the males in this survey were shown as XYY karyotype. The frequency of having this characteristic karyotype in general population is 1 in 1000 birth according to the sub sequent studies. The recurrence risk for the offspring would be 2XXY : 2XY : 1XX : 1XYY due to production of YY sperm at the second meiotic division or post-fertilization non-disjunction of the Y (Staessen et al., 2003). Structural aberration is the disordered in the structure and shape of the chromosome resulting from chromosomal breakage and error in rejoin mechanisms. Translocation is the transfer of chromosomal material between non-homologous chromosomes but there is no DNA loss. Three recognizable translocations are reciprocal, centric fusion (Robertsonian) and insertion. The one important thing in translocation is the balanced reciprocal translocation which occurs in two non-homologus chromosomes (Michael and Malcolm, 1997). In normal population, 1 in 500 are known balanced carrier and they are clinically healthy but they can give a problem when they reproduce. It is possible for the balanced translocation carrier to pass on the translocation in unbalanced form that can lead to miscarriage and physical or developmental problem (Munne et al., 2000). Deletion is the loss of a part of chromosome that can cause phenotypic effect because of the loss of gene. For a deletion to be seen in karyotype analysis, the amount of deletion must be large. It may also occur as a result of an unbalanced translocation (Barber, 2005). Although deletion of a small piece of chromosome is not a serious problem, deletion of entire chromosome is lethal. Therefore, only a few viable conditions are found in large deletion. These are the listed below; Adapted from Human Heredity Principles and Issues, seventh edition, 2006 Region of deletion Related disease 5p- Cri du chat syndrome 11q- Wilms tumour 13q- Retionblastoma 15q- (maternal uniparental disomy) Prader- Wills syndrome 15q- (paternal uniparental disomy) Angelman syndrome Cri du chat syndrome is caused by deletion in short arm of chromosome 5 and incidence is 1 in 100,000 births (Cerruti, 2001). A characteristic feature of the affected child is having a sound of cat like cry (Niebuhr, 1978). The phenotype is slightly different depend on their chromosome break point. There are two regions of break point in the short arm of chromosome 5 have been identified in this syndrome. Loss of chromosome segment in 5p15.3 results in abnormal larynx development and deletion in 5p15.2 is associated with mental retardation (Overhauser et al., 1994; Simmons et al., 1995). Prader-Willi syndrome and Angleman syndrome are caused by deletion in region 15q11-13 or by uniparental disomy (Ledbetter, 1981). If both copies of chromosome are inherited from the father, the child will have Angelman and from the mother, the child will have Prader-Willi syndrome (Horsthemke, 1996). The incidence of Prader-Willi is 1 in 10, 000 whereas Angelman is 1 in 20, 000 live birth (Clayton-Smith, 1993; Petersen et al., 1995). Characteristic feature of Prader Willi syndrome is sleepiness and Angelman is bouts of laughter (Zori et al., 1992). These cytogenetic microdeletions in the long arm of chromosome 15 can be visible by using either FISH (fluoresce in situ hybridization) or DNA analysis with probes from the deleted region (Nicholls, 1994). The others structural abnormalities include duplication, inversion and mosiacism and the rare structural variants are fragile site, heteromorphisims, isochromosome and ring chromosome. Cancer genetics Some of the cancer can be detected by karyotype analysis. The connection between chromosome rearrangement and cancer is evident in leukemia. The specific chromosome translocation between chromosome 9 and 22 is called the Philadelphia chromosome. That can be used as well defined diagnostic tool and prognostic factor. Moreover, this specific translocation is associated with other forms of cancer including Burkitts lymphoma and multiple myeloma. Chromosome translocation associated with haematological cancers Translocation site Type of cancer t(9;22) Chronic myeloid leukemia (Rajasekariah et al., 1982) t(8;14), t(8;22), t(2;8) Burkitts lymphoma (Margrath, 1990) t(8;21) acute myeloblastic leukemia (Oshimura et al., 1976) t(4;18) follicular lymphoma (Fleischman and Prigogina, 1977) t(4;18) acute lymphocytic leukemia (Oshimura et al., 1977) The proportion of leukemia with a heritable component has been estimated as 25% in monozygotic twin. Risk to sibs in childhood leukemia is 2- 4 times higher than the population incidence. The risk of a relative developing Hodgkins disease is seven fold higher than other (Kelly, 1992). Genetic counseling Genetic counseling should be offered to both parents and must give adequate time under appropriate setting. Depth of explanation should be matched to education background of the couples, outlining of clinical features, complication, natural history, prognosis and effective management (Frets et al., 1991). Simple Explanation of the genetic basic of the condition with the aids of diagram and recurrent risk calculation should be carried out (Sermon, 2002). Furthermore, genetic counselor can give the suggestion to reduce the risk of having disorder. The options are no further pregnancy, adoption, in vitro fertilization with pre implantation diagnosis, artificial insemination-AID by donor (egg donation), termination pregnancy, OR ignore and accept the risk (Zare et al., 1973). AID is performed for husband with AD trait or both are carrier for a serious AR (Taranissi, 2005). The important thing in genetic counseling must be non- judgemental and non-directive. The aim is to deliver a balanced version of the facts which will permit the consultants to reach their own decision with regard to their reproductive future. In UK, congenital disabilities act of 1976 legal action can be brought against a person whose breach of duty to parents results in a child being born disabled, abnormal or unhealthy. Prenatal diagnosis with selective termination of pregnancy became a reality in UK with the abortion ACT OF 1967 (Macintyre, 1973). AD trait is the risk to each child of an affected person is 1 in 2. Disorder has high penetrance, most dominant trait shows variable expression. AR trait for the carrier parents, the risk recurrence risk is 1 in 4 diseases, 2 in 3 chance of being carrier (Yoshikawa and Mukai, 1970). In X-linked recessive trait, if females are obligate carrier, one half of her sons will be affected and one half of her daughter will be carrier. If affected male reproduce, there will be normal sons and carrier daughters. Nowadays, biochemical tests may be available for carrier detection, but because of X inactivation few of these are absolute and this information needs to be combined with the pedigree risk using Bayes theorem (Markova et al., 1984). Conditions need for genetic counseling and investigation (Watson et al., 1992) 1. Infertility one in ten of all couples are involuntarily infertile, such a couple need chromosomal analysis to exclude a balanced structural rearrangement and Klinefelter syndrome. 2. Recurrence miscarriage one of six pregnancy ends as a spontaneous miscarriage. 3-5% of cases have a balanced structural rearrangement 3. Still birth 4. Perinatal death with multiple malformations Conclusion The benefit of karyotype analysis in high risk population provides the prevention and early management options to minimize the risk. As the genetic science development, researchers and clinician have more advanced diagnostic tool like multiplex PCR, SNP microarray, CGH (comparative genomic hybridization) to identify the far more complex chromosome abnormalities. Although karyotyping by FISH can detect both balanced and unbalanced translocation, uniparental disomy can only be detected by SNP arrays and high output sequencing. Despite the high cost, enormous benefit can be found for the society to evaluate the superior treatment protocols and genomic technologies for the future.

The Causes of the American Civil War :: American History

  Ã‚  Ã‚  Ã‚  Ã‚  The American Civil War, also known as the War Between the States, the War of Rebellion, or the War for the Southern Independence, began on April 12, 1861. The first shot ringed through the air in Fort Sumter in Charleston Harbor, South Carolina. General P.G.T. Beauregard from the Congederacy lead the attack on Charleston Harbor. The Civil War lasted until the last Confederate Army surrendered with more than 600,000 lives destroyed $5 billion in property damage and 4 million black salves set free the war had devastated many lives but also started a new beginning.   Ã‚  Ã‚  Ã‚  Ã‚  The cause of this brutal war between one nation; slavery. The Southern states including the 11 states that formed the Confederacy all relied on slavery to support their economy, while we, the Northern states, opposed it. Southern states used slave labor to produce crops, especially cotton. Slavery up here was outlawed, although few of us opposed it.   Ã‚  Ã‚  Ã‚  Ã‚  After we had just defeated Mexico in the mexican War (1846-1848), the main debate on the eve of the war was whether or not we should permit slaver in those states won in the Mexican war. Those states included New Mexico, part of California and Utah.   Ã‚  Ã‚  Ã‚  Ã‚  The Government tried to make this dispute fair by makin the number of non- slave sates and slave states equal, so that their would be no majorities in the senate. Those against slavery were concerned that the expansion of the states won from Mexico because the did not want to compete against slave labor. During the beginning of the war the Union had 19 non-slave states and the Confederacy had 15 slave states. President Lincoln called the nation " A House Divided.

Monday, August 19, 2019

Chemical Transport During Surface Irrigation :: Agriculture Farming Papers

Chemical Transport During Surface Irrigation Surface irrigation, the most prominent method used for irrigating agricultural crops, is the flowing of water across the field surface. As the water flows, it infiltrates into the soil. The amount of water applied to the field is regulated by the length of time that the water is allowed to flow. Surface irrigation can be subdivided into following four types based the amount of water flow control; wild flooding, graded boarders, level boarders and furrow irrigation. Wild flooding uses a series of field ditches running parallel or perpendicular to the fields' contour. Water is introduced into the field either be overflowing the ditches or by siphon. Once the water enters the field, the water is allowed to flow uncontrolled under the force of gravity. The water then infiltrates the soil as it moves across the field. The graded boarder method is similar to wild flooding except that the field is divided into a series of smaller narrower fields varying from 10 to 20 meters wide and 100 to 400 meters long. Each of these smaller fields is surrounded by a low ridge that keeps the water from spreading to much laterally. This method gives some control over the flow of water. Level boarder irrigation is similar to the graded boarder method except that the field is leveled within the low ridges surrounding it. Water can be introduced into the field at a faster rate so the field is covered much quicker. The water is then allowed to infiltrate into the soil. Furrow irrigation chanalizes the water into narrow furrows running the length of the field perpendicular to the contour of the field. This submerges only about one fifth of the soil surface. As the water flows down the furrow it infiltrates into the soil below and to the sides of the furrow. All four of these methods result in excess water being applied to the field to ensure that the far ends of the field are adequately watered. This means that there will be water running off the field on the downhill side of the field. A ditch is run along the side of the field to collect this water and remove it from the field. This excess water is of concern from a water quality standpoint. Almost all crops grown in the united states are done so under intense fertilization and pest control programs that result in large amounts of fertilizers and pesticides being applied to the soil and crop itself.

Sunday, August 18, 2019

FDR vs Clinton :: American America History

FDR vs Clinton The domestic policies and administrations of Franklin Delano Roosevelt and William Jefferson Clinton are in some ways similar, but in other ways very different. The two men were very domestic-oriented presidents, focusing largely on America, and not the outside world. Both Democrats, they supported Federal Government programs to aid the American People. These programs were not necessary, but the presidents felt that they would aid Americans. Roosevelt created many jobs for the unemployed. He did this with such acts as the Unemployment Relief Act, which created the Civilian Conservation Corps, the Civil Works Administration gave temporary jobs to the unemployed during an especially harsh winter, and the Works Progress Administration spent about $11 billion employing people to work on government projects. Roosevelt also provided for money to be given to states to help increase employment. This includes the Federal Relief Administration, that gave $3 million to states to pay wages for w ork projects as well as direct dole payments. The Tennessee Valley Act dammed up the Tennessee river and created jobs, inexpensive hydroelectric power, cheap nitrates, improved navigation of the river, low cost housing, reforestation, and the restoration of eroded soil. Clinton has also worked for lower unemployment rates. During the first two years of Clinton's administration, 6 million jobs were created; 7.7 million during the first 34 months. Americorps, formed to help people pay for college and job training, helped to tutor students, immunize children, and restore urban parks. Clinton's Northwest Forest Plan was contrived to provide jobs in the Northwest and preserve ancient forests at the same time. Since Clinton became president, the unemployment rate has decreased from 7% to 5.6% and the United States currently has its lowest combined rate of inflation and unemployment since the beginning of Nixon's Administration in 1968. Clinton has also continued several programs that were pioneered by Roosevelt, such as Social Security and Bank Security. Clinton's Social Security Independent Agency Act, Interstate Banking Bill, and the Community Development Banking Financial Institutions Act's roots can be traced back to Roosevelt's Social Security Act of 1935 and Glass-Steagall Banking Reform Act. Both Clinton and Roosevelt also advocated the rights of workers. Roosevelt secured the unions' right to form and to bargain with a representative of their choice with his National Labor Relations Act, and created a minimum wage, maximum hours, and limited the ages of young workers with his Fair Labor Standards Act. FDR vs Clinton :: American America History FDR vs Clinton The domestic policies and administrations of Franklin Delano Roosevelt and William Jefferson Clinton are in some ways similar, but in other ways very different. The two men were very domestic-oriented presidents, focusing largely on America, and not the outside world. Both Democrats, they supported Federal Government programs to aid the American People. These programs were not necessary, but the presidents felt that they would aid Americans. Roosevelt created many jobs for the unemployed. He did this with such acts as the Unemployment Relief Act, which created the Civilian Conservation Corps, the Civil Works Administration gave temporary jobs to the unemployed during an especially harsh winter, and the Works Progress Administration spent about $11 billion employing people to work on government projects. Roosevelt also provided for money to be given to states to help increase employment. This includes the Federal Relief Administration, that gave $3 million to states to pay wages for w ork projects as well as direct dole payments. The Tennessee Valley Act dammed up the Tennessee river and created jobs, inexpensive hydroelectric power, cheap nitrates, improved navigation of the river, low cost housing, reforestation, and the restoration of eroded soil. Clinton has also worked for lower unemployment rates. During the first two years of Clinton's administration, 6 million jobs were created; 7.7 million during the first 34 months. Americorps, formed to help people pay for college and job training, helped to tutor students, immunize children, and restore urban parks. Clinton's Northwest Forest Plan was contrived to provide jobs in the Northwest and preserve ancient forests at the same time. Since Clinton became president, the unemployment rate has decreased from 7% to 5.6% and the United States currently has its lowest combined rate of inflation and unemployment since the beginning of Nixon's Administration in 1968. Clinton has also continued several programs that were pioneered by Roosevelt, such as Social Security and Bank Security. Clinton's Social Security Independent Agency Act, Interstate Banking Bill, and the Community Development Banking Financial Institutions Act's roots can be traced back to Roosevelt's Social Security Act of 1935 and Glass-Steagall Banking Reform Act. Both Clinton and Roosevelt also advocated the rights of workers. Roosevelt secured the unions' right to form and to bargain with a representative of their choice with his National Labor Relations Act, and created a minimum wage, maximum hours, and limited the ages of young workers with his Fair Labor Standards Act.

Saturday, August 17, 2019

Recruiting and Selecting Employees Who Look Good and Sound Right Essay

Present day business industry is highly dependent on the general success of the people within organizations who are commonly referred to as the human resource. Important to note is that the human resource prospect is defined under two categories within any given organization; firstly there is the employees of an organization themselves and secondly the people in management who are responsible for promoting the values of the organization through ensuring that human aspects within an organization are satisfactorily taken care of (Fernandez-Araoz, Groysberg and Nohria 2009 ). With regards to the aforementioned details, the human resource department is usually tasked with the responsibility of bringing in new employees whose skills sets suit an organization’s mandate and values in general through a rigorous recruitment and selection process. During the recruitment and selection process of prospecting employees, companies usually set out on a hunting mission for the crà ¨me de la crà ¨me who are available in the job search market. How an individual who is in pursuit of a job opportunity dresses and carries themselves in an interview and further their conversational skills greatly determine whether or not an organization will hire them; this is what is described as looking good and sounding right in this paper. How an employee is dressed decimates into how they think and interrelate with customers in an organization thereby offering quality services and creating a conducive business environment in return. The underlying chapters of this paper will be keen on reflecting on the prospects and influences of dressing smart and sounding right with an inference on analysis and compilations from multiple academic literatures on the same topic while at the same time illustrating the influences of looking good and sounding right through the lens or organizational examples. Having a human resource that thinks right and has an exquisite recruitment strategy in place is what defines organization’s competitive edge in the current market; it is every organization’s dream that its employee’s appearance influences how the customers relate to the company on a broader perspective thus promoting their brand in the long run (Warhurst 2012). The prospect of looking good and sounding right within organizations Human resource practitioners will agree to the fact that a great deal of time goes into activities and processes related to recruiting and selecting new staff for a particular position in an organization. Many at times the long durations tied to recruitment are connected to the ideal of companies to not only want to source for staff who are knowledgeable about what their companies deal in but also look the part of any given brand and are easily approachable by customers. Staff selection during a recruitment process of an organization is one of the most vital decisions that the organizations have to undertake to ensure that their normal operations are running smoothly (Taylor 2008). Businesses have to know what they are clearly looking for in an employee before signing them up, not only how red-hot the skills of an individual seeking employment look will determine the long-term success of an organization and recruitment of the correct person but also the most important aspect is how t hey look and how they carry themselves while conversing with customers in an actual business setting (Quast 2012). It is critical that organizations have systems and a recruitment process in place which is capable of accessing how the applicants of a particular job opening portray these traits before their full time absorption by any organization. Take the case of Richer Sounds an electrical retail chain store with over 53 stores across the nation: it has in place a three stage recruitment process for new staff seeking any job opportunities within the company. The first stage of recruitment involves placement of advertisements at the stores windows and also through the company website where people who are interested are requested to e-mail a CV to the company. The former kind of advertisement mainly targets people who pay attention to their brand and customers who are regular visitors to the shop thus are knowledgeable about the products (Fisher 2014). On the other hand, the latter advertisement is aimed to attend to a greater pool of applicants irrespective of their familiarity with Richer Sound s products. Considering the advertisement strategies imposed at this point, it is evident that a great pool of applicants will be willing to be signed; the most integral part of this initial stage is demonstrated through a store manager’s initial interview who is keen on sorting the applicants to remain with those who look the part through analysis of their dress code and personality. Operations director John Clayton suggests that, â€Å"Richer sounds hires on the basis of personality then later train for skills (Martin and Whiting 2010).† These instance posters a scenario where people get accessed on the basis of how they look even before a company takes a look and considers an individual’s qualifications. Second in line of the recruitment strategy is a paid trial day for an applicant which in some circumstances stretches beyond the one day period. Here, the applicant is accessed on whether or not they are consistent in their dressing and how they sound when conversing with customers. Upon completion of the trial stage, other members of a particular store are asked on their opinion of what they think about a new recruit and whether they embody the company’s aspect of looking good and sounding right (Nickson and Dutton 2005). Last in queue of the recruitment process is stage three where an applicant’s qualifications are now accessed to see how suitable they are for the job after considering that the individual’s personality is suitable for Richer Sounds. From the Richer Sounds case, it is evident that the way companies approach their recruitment processes over the years has greatly revolved and now companies are keen on how an individual looks and how their conversa tions sound before customers. Irrespective of the costs of recruitment, companies are willing to dig deep into their financial coffers so that they can get the right group of employees; Williamson argues that, â€Å"it is arguably more expensive hiring wrong people in an organization as opposed to the cost of having a stringent recruitment strategy in place that is time consuming (McMillan 2014).† Richer Sounds is just one among the many companies that are currently inclined towards accessing applicants for job openings on the grounds of how they look and opulence they execute through their conversations with customers. On a broader perspective, how an individual looks has a great influence on the operations of people within different organizations; important in the process of advocating for employees who look good is an employer who serves up to their word of promoting smart dressing for the workplace by leading as the actual ambassador of what their brand should be defined as. Looking good while pursuing a job opportunity has positive impacts and a higher probability one is going to achieve the job, people will ascribe good qualities on the prospect of your perceived appearance thus want to always associate their company with an individual who looks good. A Macquarie University research carried out in both the United Kingdom and United States suggests that looking good improves the chances of one scoring a job opportunity and also is responsible for boosting one’s career once they are employed in different organizations (Arkin 2007). The research further suggested that employees who look go od and sound right are usually rated highly by their employers and the probability of them losing their jobs is usually minimal. In essence, looking good attracts a myriad of premium rewards for both the person and organization at large whereas those who are unattractive and have a poor personality in most situations lose out on several job opportunities (Boxall 2008). Moreover, having in place a clearly defined staff is the key component that ensures customers to a particular organization have a clearly defined experience that warrants their coming back for the same services once again and consequently creates a solid positive internal culture of an organization. It is ideal that organizations have a culture that existing employees are well versed with so that when the recruitment process for new staff is commenced, it is one that runs smoothly. New recruits to any given organization should find in place, a culture where staff are usually well dressed and converse excellently with customers thereby prompting an easier transitioning process for new staff into the operations of an organization. Efficiently articulating a particular dress code for existing staff is key in determining and sourcing for new recruits who will promote the same culture and easily get acclimatized with the practices of any given organization which in return will yield posit ive results for the same company (Churchard 2010). Indeed, some positions within an organization do require employees with a particular set of skills usually defined as experience and qualifications for a specific job but setting out a hunt on this basis is the first step that organizations usually make during their recruitment process; companies should attend to the recruitment process with a different perception where the individual’s character is assessed for they are buying into the person’s character and not their qualifications. Possessing both this attributes is a plus for any prospecting employee and is a sure combined package to score one a job (Faccini and C 2010). Arguably, the perception of looking good and sounding right in a respectable number of business circles usually refers to an individual’s physical appearance, a definition that has triggered a trend of the working class turning to the gym as a means of staying fit. The service sector for instance has rampantly changed over the years where unlike the previous years where service providers never met their customers currently employees are always in constant contact with their customer; a fact that influences the need for staff to dress the part and portray their organization in positive light (Emott 2007). How affluent and efficient an employee’s speech is determines the placement of any given company as a brand to all its customers which is greatly dependent on the employees. The enforcement and prescription for employees to embody both the aspects of looking and sounding good is referred to as aesthetic labour and this characteristics play an integral point of how new e mployees to any organization relate with customers. Companies have learnt that before their recruitment process, that for the success of any business to be achieved, recruitment of workers should be expressively based on labour aesthetics of any individual before they are taken in. Finding and incorporating the right people with this kind of characteristics is a daunting task for many organizations and the only means of recruiting an individual with the right skill set involves having in place a well structured selection system during the recruitment process (Hofstede 1997). However, the daunting recruitment process does not stop at this point, it is equivocally difficult to select out a specific candidate who suits the needed requirements for your organization. Fast forward to the case of Nestle Group of companies which has a human resource policy that the company abides by whenever any recruitment is being carried out in their group of companies across the world (Kaplan 1992). Their recruitment processes is respectful of the varied legislation practices of different countries but above all the recruitment strategy is underpinned under the mantra of looking good and sounding right as a means of selecting new recruits into various positions of their wide range of companies across the globe. Underpinned in the promotion of its human resource policy, is the responsibility for employees of the organization to be capable of satisfying the needs of its customers (Hutchinson 2003). The human resource department is tasked with the requisite responsibility of proposing individuals that suit the aforementioned requirements. Furthermore, the Nestle Group has in place a mentorship programme that offers guidance to new recruits into the organization so that the company’s mission statement can be achieved in the simplest ways possible after assessment of recruits on the basis of how they look and sound good before the customers (Letmathe 2008). This partnership and mentorship programme between existing staff and new incoming staff is an efficient means that has been in use for a very long period of time for people recruitment and their management in general. The recruitment cases of both Nestle Group and Richer Sounds demonstrates that companies are currently turning to the looking good and sounding good trait in applicants as a means of selecting who is suitable for any given position within their organizations (Paton 2008 ). This trend has been fuelled by the fact that there exists a broader pool of unemployed individuals with right qualifications but they cannot secure for themselves any jobs; looking good and sounding right is the ideal means used to disqualify this wide pool of applicants. Looking good and sounding right has become the ideal filtering tool for companies when they are sourcing and on a search for new employees through a well structured recruitment process. Irrespective of the fact that recruitment of new staff by the human resource department is a difficult task, clearly defining what the human resource management is looking for in a customer then crafting a description of the same as a recruitment step is usually in strumental in attracting the right cadre of individuals any given company is keen on hiring despite the fact that there are many people out there looking for jobs. Looking out for these two qualities in individuals is the first step towards narrowing down the wide numbers of applicants for any given job so that any company’s job opening can remain with only potential clients that can meet the values of the company while at the same time promoting the mission statement of the same company. Categorical in the recruitment process and requirements for applicants is the prospect of an applicant having passion for whatever job they are trying to achieve, their commitment to any given company, their general problem-solving skills and lastly any relevant experience they have in the field being advertised (Ritzer 1985). Clearly outlining what as an organization you need in an applicant is instrumental in helping organizations know how attentive applicants are to detail as opposed to only looking at their resume which offers little or rather basic information about an individual. Before conceptualizing and kick-starting any particular recruitment and selection process, an organization must first attune its strategy to be relatively inclined to the values of the organization and is fully supportive of the organization’s culture. Pre-employment testing like the case of Richer Sounds is an ideal way in determining whether or not a company is making a wise decision by investing into an individual with the set capabilities of looking good and sounding right so that an organization can fully accrue its set goals (Gilmore 2000). The people recruitment strategy is a determining factor on whether a company is going to succeed or fail and also influential on how employees develop during their stay in a particular organization thus there general motivation that in return bears fruit through excellent service delivery to customers. New recruits embodying the prospect of looking good and sounding right is highly dependent on how the company itself is culturally inclined towards the promotion these two traits. References Arkin, Anderson. â€Å"Street Smart .† People Management , 2007: 28-29. Boxall, . Purcell. Strategy and Human Resource Management. London : Houndsmills: Palgrave McMillan , 2008. Churchard, Christopher. â€Å"Power brokers.† People Management , 2010: 38-40. Emott, Drucker. â€Å"CSR Laid Bare .† Harper Business , 2007: 14-32. Faccini, R., and Hackworth C. â€Å"Changes in output, employment and wages during recesrecessions in the UK .† Bank of England Quarterly Bulletin, 2010: 43-50. Fernandez-Araoz, Claudio, Boris Groysberg, and Nitin Nohria. â€Å"The Definitive Guide to Recruiting .† Harvard Business Review , 2009 : 14-21. Fisher, Annie. How to spot the right cultural fit in a job interview. August 8, 2014. http://fortune.com/2014/08/08/job-interview-cultural-fit/ (accessed January 16, 2015). Gilmore, Stewart. The McDonaldization of Society: New Century Edition. London : Pine Forge Press, 2000. Hofstede, George. Cultures and Organisations: Software of the Mind. London : McGraw Hill , 1997. Hutchinson, Purcell. â€Å"HR roles and responsibilities: the 2010 IRS survey.† IRS Employment Review , 2003: 14-17. Kaplan, Norton. â€Å"The balanced scorecard.† Harvard Business Review , 1992: 71-79. Letmathe, P. Brabeck. The Nestle HR Policy Report . Policy Report , New York : Ndestlesy Inc. , 2008. Martin, Malcolm, and Fiona Whiting. â€Å"Human Resource Practice .† In Recruitment and Selection , by Tricia Jackson, 109-157. London : CIPD , 2010. McMillan, Andrew. Recruitment at Richer Sounds . London : Cambridge University Press , 2014. Nickson, Dennis, and Eli Dutton. â€Å"The importance of attitude and appearance in the service encounter in retail and hospitality.† Managing Service Quality, 2005: 195-204. Paton, Oliver. Gen Up: How the Four Generations Work Together,. Joint Survery Report , London : CIPD , 2008 . Quast, Lisa. Companies Are Using Social Media In The Hiring Process. May 21, 2012. http://www.forbes.com/sites/lisaquast/2012/05/21/recruiting-reinvented-how-companies-are-using-social-media-in-the-hiring-process/ (accessed January 17, 2015). Ritzer, Solomon. â€Å"Packaging the service provider.† Service Industries Journal, 1985: 65-72. Taylor, Kate. Recruiting and Hiring Top-Quality Employees. August 23, 2008. http://www.entrepreneur.com/article/76182 (accessed January 16, 2015). Warhurst, Chris. â€Å"Employee Screening nad Selection .† References for Business , 2012: 134-152. Source document

Friday, August 16, 2019

Philippine Literature Essay

Literature 1. Literature is the art of written works, and is not bound to published sources. The word literature means â€Å"acquaintance with letters†. The two most basic written literary categories include fiction and non fiction. a) Etymology- late 14c. , from L. lit(t)eratura â€Å"learning, writing, grammar,† originally â€Å"writing formed with letters,† from lit(t)era â€Å"letter. † Originally â€Å"book learning† (it replaced O. E. boccr? ft), the meaning â€Å"literary production or work† is first attested 1779 in Johnson’s â€Å"Lives of the English Poets† (he didn’t include this definition in his dictionary, however); that of â€Å"body of writings from a period or people† is first recorded 1812. b) Types: * An epic is a lengthy narrative poem, ordinarily concerning a serious subject containing details of heroic deeds and events significant to a culture or nation. * Lyric poetry is a form of poetry that expresses personal and emotional feelings. In the ancient world, lyric poems were meant to be played to the lyre. Lyric poems do not have to rhyme, and today do not need to be set to music or a beat. * Drama is the specific mode of fiction represented in performance. The term comes from a Greek word meaning â€Å"action† , which is derived from â€Å"to do†. * Romance or chivalric romance is a style of heroic prose and verse narrative that was popular in the aristocratic circles of High Medieval and Early Modern Europe. * Satire is primarily a literary genre or form, although in practice it can also be found in the graphic and performing arts in which vices, follies, abuses, and shortcomings are held up to ridicule, ideally with the intent of shaming individuals, and society itself, into improvement. * Comedy is any humorous discourse intended to amuse, in television, film, and stand-up comedy. * Tragedy is a form of art based on human suffering that offers its audience pleasure. 2. Literary Forms based on Philippine Historical Period a) Ancient Literature of Folk Literature. Compared to other Southeast Asian countries, the Philippines has very few artifacts that show evidence of writing. It is known that the Filipinos transferred information by word of mouth so it is not a surprise to know that literacy only became widespread in 1571 when the Spaniards came to the Philippines. But the early script used by the Filipinos called Baybayin or Alibata became widespread in Luzon. The Spaniards recorded that people in Manila and other places wrote on bamboo or on specially prepared palm leaves, using knives and styli. They used the ancient Tagalog script which had 17 basic symbols, three of which were the vowels a/e, i, and o/u. Each basic consonantal symbol had the inherent a sound: ka, ga, nga, ta, da, na, pa, ba, ma, ya, la, wa, sa, and ha. A diacritical mark, called kudlit, modified the sound of the symbol into different vowel sounds. The kudlit could be a dot, a short line, or even an arrowhead. When placed above the symbol, it changed the inherent sound of the symbol from a/e to i; placed below, the sound became o/u. Thus a ba/be with a kudlit placed above became a bi; if the kudlit was placed below, the symbol became a bo/bu. Owing to the works of our own archaeologists, ethnologists and anthropologists, we are able to know more and better judge information about Philippine pre-colonial times set against a bulk of material about early Filipinos as recorded by Spanish, Chinese, Arabic and other chroniclers of the past. Pre-colonial inhabitants of our islands showcase the Philippines’ rich past through their folk sayings, folk songs, folk narratives and indigenous rituals and mimetic dances. The most seminal of these folk sayings is the riddle which is tigmo in Cebuano, bugtong in Tagalog, paktakon in Ilonggo and patototdon in Bicol. There are also proverbs or aphorisms that express norms or codes of behavior, community beliefs or values by offering nuggets of wisdom in short, rhyming verse. The folk song, is a form of folk lyric which expresses the hopes and aspirations, the people’s lifestyles as well as their loves. These are often repetitive and sonorous, didactic and naive as in the children’s songs or Ida-ida (Maguindanao), tulang pambata (Tagalog) or cansiones para abbing (Ibanag). A few examples are the lullabyes or Ili-ili (Ilonggo); love songs like the panawagon and balitao (Ilonggo); harana or serenade (Cebuano); the bayok (Maranao); the seven-syllable per line poem, ambahan of the Mangyans that are about human relationships, social entertainment and also serve as tools for teaching the young; work songs that depict the livelihood of the people often sung to go with the movement of workers such as the kalusan (Ivatan), soliranin (Tagalog rowing song), the mambayu, a Kalinga rice-pounding song, and the verbal jousts/games like the duplo popular during wakes. The folk narratives, such as epics and folk tales are varied, exotic and magical. They were created to explain the phenomena of the world long before science came to be known. They explain how the world was created, how certain animals possess certain characteristics, why some places have waterfalls, volcanoes, mountains, flora or fauna and, in the case of legends, the origins of things. Fables are about animals and these teach moral lessons. The epics come in various names: Guman (Subanon); Darangen (Maranao); Hudhud (Ifugao); and Ulahingan (Manobo). These epics revolve around supernatural events or heroic deeds and they embody or validate the beliefs and customs and ideals of a community. They are performed during feasts and special occasions such as harvests, weddings or funerals by chanters. Examples of these epics are the Lam-ang (Ilocano); Hinilawod (Sulod); Kudaman (Palawan); Darangen (Maranao); Ulahingan (Livunganen-Arumanen Manobo); Mangovayt Buhong na Langit (The Maiden of the Buhong Sky from Tuwaang–Manobo); Ag Tobig neg Keboklagan (Subanon); and Tudbulol (T’boli). b) Philippine Literature under Spanish Period The arrival of the Spaniards in 1565 brought Spanish culture and language. The Spanish conquerors, governing from Mexico for the crown of Spain, established a strict class system that was based on race and soon imposed Roman Catholicism on the native population. While it is true that Spain subjugated the Philippines for more mundane reasons, this former European power contributed much in the shaping and recording of our literature. Religion and institutions that represented European civilization enriched the languages in the lowlands, introduced theater which we would come to know as komedya, the sinakulo, the sarswela, the playlets and the drama. The natives, called indio, generally were not taught Spanish, but the bilingual individuals, notably poet-translator Gaspar Aquino de Belen, produced devotional poetry written in the Roman script in the Tagalog language. Literature from this period may be classified as religious prose and poetry and secular prose and poetry. Religious lyrics written by ladino poets or those versed in both Spanish and Tagalog were included in early catechism and were used to teach Filipinos the Spanish language. Another type of religious lyrics is the meditative verse like the dalit appended to novenas and catechisms. It has no fixed meter nor rhyme scheme although a number are written in octo-syllabic quatrains and have a solemn tone and spiritual subject matter. Secular works appeared alongside historical and economic changes, the emergence of an opulent class and the middle class who could avail of a European education. This Filipino elite could now read printed works that used to be the exclusive domain of the missionaries. The most notable of the secular lyrics followed the conventions of a romantic tradition: the languishing but loyal lover, the elusive, often heartless beloved, the rival. The leading poets were Jose Corazon de Jesus (Huseng Sisiw) and Francisco Balagtas. Some secular poets who wrote in this same tradition were Leona Florentino, Jacinto Kawili, Isabelo de los Reyes and Rafael Gandioco. Another popular type of secular poetry is the metrical romance, the awit and korido in Tagalog. The awit is set in dodecasyllabic quatrains while the korido is in octosyllabic quatrains. An example of this is the Ibong Adarna (Adarna Bird). There are numerous metrical romances in Tagalog, Bicol, Ilonggo, Pampango, Ilocano and in Pangasinan. The awit as a popular poetic genre reached new heights in Balagtas’s Florante at Laura (ca. 1838-1861), the most famous of the country’s metrical romances. Again, the winds of change began to blow in 19th century Philippines. Filipino intellectuals educated in Europe called ilustrados began to write about the downside of colonization. This, coupled with the simmering calls for reforms by the masses inspired a formidable force of writers like Jose Rizal, Marcelo H. del Pilar, Mariano Ponce, Emilio Jacinto and Andres Bonifacio. This led to the formation of the Propaganda Movement where prose works such as the political essays and Rizal’s two political novels, Noli Me Tangere and the El filibusterismo helped usher in the Philippine revolution resulting in the downfall of the Spanish regime, and, at the same time planted the seeds of a national consciousness among Filipinos. But before Rizal’s political novels came, the novel Ninay (1885) by Pedro Paterno, which was largely cultural and is considered the first Filipino novel. Although Paterno’s Ninay gave impetus to other novelists like Jesus Balmori and Antonio M. Abad to continue writing in Spanish, their efforts did not flourish. Other Filipino writers published the essay and short fiction in Spanish in La Vanguardia, El Debate, Renacimiento Filipino, and Nueva Era. The more notable essayists and fictionists were Claro M. Recto, Teodoro M. Kalaw, Epifanio de los Reyes, Vicente Sotto, Trinidad Pardo de Tavera, Rafael Palma, Enrique Laygo (Caretas or Masks, 1925) and Balmori who mastered the prosa romantica or romantic prose. c) Contemporary Literary Forms * Poetry is a form of literary art in which language is used for its aesthetic and evocative qualities in addition to, or in lieu of, its apparent meaning. * A novel is a book of long narrative in literary prose. * Drama is the specific mode of fiction represented in performance. [1] The term comes from a Greek word meaning â€Å"action†, which is derived from â€Å"to do†. * A short story is a work of fiction that is usually written in prose, often in narrative format. * A novella is a written, fictional, prose narrative longer than a novelette but shorter than a novel. 3. Various Geographical Regions and Historical Periods and Literary Genre a) Ilocos, Cagayan Valley, and Cordillera Administrative Regions Pre-colonial Iloko literature were composed of folk songs, riddles, proverbs, lamentations called dung-aw, and epic stories in written or oral form. Ancient Ilokano poets expressed themselves in folk and war songs as well as the dallot, an improvized, versified and at times impromptu long poem delivered in a sing-song manner. During the Spanish regime, Iloko poetry was generally patterned after Spanish models. In fact, the earliest known written Iloko poems were the romances translated from Spanish by Francisco Lopez, an Augustinian friar who, in 1621, published his own Iloko translation of the Doctrina Cristiana by Cardinal Bellarmine, the first book to be printed in Iloko. A study of Iloko poetry could be found in the Gramatica Ilokana, published in 1895, based on Lopez’s Arte de la Lengua Iloca, earlier published in 1627, but was probably written before 1606. Some Iloko writers credit Pedro Bucaneg, who collaborated with Lopez in the translation of the Doctrina into Iloko, for having been the first known Ilokano poet, and as the â€Å"Father of Ilokano Poetry and Literature. † Bucaneg, blind since childhood, authored the popular epic known as â€Å"Biag ni Lam-ang† (â€Å"Life of Lam-ang†) written in the 17th century. The earliest written form of the epic poem was given by Fr. Gerardo Blanco to Isabelo de los Reyes, who published it in El Ilocano from December 1889 to February 1890, with Spanish translation in prose, and also reprinted it in his El Folklore Filipino, under the title â€Å"Vida de Lam-ang. † Iloko literature developed in many ways. During the 18th century, the missionaries used religious as well as secular literatures among other means to advance their mission of converting the Ilokanos to Christianity. The century also saw the publication of religious works like Fr. Jacinto Rivera’s Sumario de las Indulgencias in 1719 and the Pasion, a translation of St. Vincent Ferrer’s sermons into Iloko by Fr. Antonio Mejia in 1845. The 19th century likewise saw the appearance of Leona Florentino, who has since been considered by some as the â€Å"National Poetess of the Philippines†. Her poems which have survived, however, appear to the modern reader as being too syrupy for comfort, too sentimental to the point of mawkishness, and utterly devoid of form. Fr. Justo Claudio Fojas, an Ilokano secular priest who wrote novenas, prayerbooks, catechism, metrical romances, dramas, biographies, a Spanish grammar and an Iloko-Spanish dictionary, was Leona Florentino’s contemporary. Isabelo de los Reyes, Leona’s son, himself wrote poems, stories, folklore, studies, and seemingly interminable religious as well as political articles. The achievement of both Claudio Fojas and de los Reyes is possibly more significant than the critical reader of Iloko literature today is ready to admit. The comedia, otherwise known as the moro-moro, and the zarzuela were presented for the first time in the Ilocos in the 19th century. The comedia, a highly picturesque presentation of the wars between Christians and Muslims, and the zarzuela, an equally picturesque depiction of what is at once melodrama, comic-opera, and the skit interminably preoccupied with the eternal theme of boy-meets-girl-who-always-live-happily-ever-after-seemingly-impossible-odds are still as popular today as they were when first staged in the Ilocos. The comedia was scripted from the corridos like Principe Don Juan, Ari Esteban ken Reyna Hipolita, Doce Paris, Bernardo Carpio, Jaime del Prado. Marcelino Mena Crisologo helped popularize the zarzuela based on the culture and tradition of the Ilokanos particularly those in Vigan, Ilocos Sur. So did Pascual Agcaoili y Guerrero (1880-1958) of Ilocos Norte who wrote and staged â€Å"Daguiti Agpaspasukmon Basi,† and Isaias R. Lazo (1887-1983) of San Vicente, Ilocos Sur who wrote comedia and zarzuela. The year 1892 saw the printing for the first time of the first Iloko novel, written by Fr. Rufino Redondo, an Augustinian friar, titled â€Å"Matilde de Sinapangan. † Another Iloko novel which was written before the end of the 19th century by one Don Quintin Alcid was â€Å"Ayat, Kaanonto Ngata? † (â€Å"Love, When Shall it Be? â€Å") Arturo Centeno of Vigan, Ilocos Sur, also wrote three novels titled â€Å"Apay a Di Mangasawa? † (â€Å"Why Doesn’t He Get Married? â€Å"), â€Å"Dispensara† and â€Å"Padi a Puraw Wenno Naamo a Kibin† (â€Å"A White Priest or a Good Guide†). The 20th century is comparatively more intense in literary activity. Some of the literature in this period are â€Å"Biag ti Maysa a Lakay, Wenno Nakaam-ames a Bales† (â€Å"Life of an Old Man, or a Dreadful Revenge†) by Mariano Gaerlan (1909); â€Å"Uray Narigat no Paguimbagan† (â€Å"Improvement Despite Obstacles†) by Facundo Madriaga (1911); â€Å"Mining Wenno Ayat ti Cararua† (â€Å"Mining or Spiritual Love†) by Marcelino Pena Crisologo (1914); â€Å"Nasam-it ken Narucbos nga Sabong dagiti Dardarepdep ti Agbaniaga† (â€Å"Sweet and Fresh Flower of a Traveller’s Dreams†) by Marcos E. Millon (1921); â€Å"Sabsabong ken Lulua† (â€Å"Flowers and Tears†) by R. Respicio (1930); â€Å"Apay a Pinatayda ni Naw Simon? † (â€Å"Why Did They Kill Don Simon? â€Å") first known detective novel in Iloko by Leon C. Pichay (1935); â€Å"Puso ti Ina† (â€Å"A Mother’s Heart†) by Leon C. Pichay (1936). When the Bannawag magazine, a sister publication of Liwayway, Bisaya and Hiligaynon, hit the streets on Nov. 3, 1934, Iloko literature reached a headland. Many Ilokanos started to write literary pieces. The early Bannawag short stories showed sustained growth. The short stories written in the 1920s were poor imitations of equally poor American fiction. Early short story writers had practically no literary background in their attempts. The growth of the short story was not apparent until Bannawag resumed publication in 1947. Most of the stories published dealt with themes of war; guerrilla activities, Japanese atrocities, murder, pillage and death. By the latter part of the decade, writers of different ages emerged, and from their ranks came stories that were less verbose, tighter,and with more credible characterization than those written previously. While many articles have been written by Ilokanos and non-Ilokanos about the Ilocos Region, few scholarly studies have been conducted. Among these scholars were Leopoldo Y. Yabes of the University of the Philippines, who made a brief survey of Iloko literature in 1934. His findings showed that Iloko literature began with Pedro Bucaneg. In 1940, Thomas B. Alcid of the University of Santo Tomas made a study on the Iloko prose fiction and discussed the Iloko short story and the Iloko novel and their possibilities in Philippine literature. His study showed that the short stories and novels at that time were still young and needed more improvement. In 1954, Mercedes F. Guerrero of the Manuel L. Quezon Educational Institution (now MLQU) made a masteral thesis titled â€Å"Critical Analysis of the Outstanding Iloco Short Stories Published in the Bannawag from 1948 to 1952. † Her findings showed that the Iloko stories offer a mine of information about the ideals and customs of the Filipino people. In the display of emotions and feelings, the Iloko author has been free or spontaneous in dealing with the life he portrayed. Most often he has been compassionate with his characters. He has treated a wide variety of subjects that there is no important place of Filipino life that has not been depicted. There are stories on mere trifling matters as well as their own nation-slaking subjects. These are stories about persons, about animals, about places and about events. Guerrero also found out that the Ilokano author served his society by: 1. ) Preserving the ideals, customs and traditions of the people. 2. ) Bringing out the social consciousness of the era–its mood, conflicts, struggles, and rehabilitation. 3. ) Awakening man’s sensibilities to the joys, sorrows, loves, hatreds and jealousies of the people. 4. ) Casting away sectional sentiments and prejudices and bringing about fuller understanding of the different ethnic groups. A related literature published by Dr. Marcelino A. Foronda, Jr. in 1967, titled â€Å"Dallang: An Introduction to Philippine Literature in Iloko,† discussed the traits and characteristics of the Ilokanos. Of their literature, he stated: â€Å"†¦ The Ilokano language is so highly developed as to have produced the greatest number of printed works in any Philippine language, next to Tagalog. Bannawag has played and still plays a major role in the development of Iloko literature. At present, it publishes poems (daniw), short stories (sarita), novels (nobela), essays (salaysay), comics, biographies, folktales and many others including what some call avant garde literary output. It is the only magazine where Ilokano writers hope to publish most of their writings. During the magazine’s infancy years in the 1930s, most of its contents were translations from the Liwayway magazine save a novel by Hermogenes F. Belen titled â€Å"Nadaraan a Linnaaw† (Blood-stained Dew) which was serialized in 1947. Other writers at that time included Benjamin M. Pascual, David D. Campanano, Godofredo S. Reyes, Benito de Castro, Jose P. Acance, Benjamin Gray, Marcelino A. Foronda,Jr. In the 1960s, poems, short stories and novels published by the Bannawag became better–in craftsmanship, development of plots and themes, among others. Writers by then, most of whom were college students and professionals, had a bigger library of literary books. To help in the development of the Iloko short story, Bannawag launched a writing contest in 1961. The judges were Prof. Santiago Alcantara of the National University, Prof. Angel C. Anden of the Manuel L. Quezon University, and Dr. Marcelino A. Foronda, Jr. of the De La Salle University-Manila. This contest lasted until 1970. One of the judges said the quality of Iloko short stories was competitive with those written in English. Before the martial-law era, most of the poems, stories and novels dwelt on political unrest and protests, like rallies and demonstrations by students, professionals and workers against the government. Ilokano writers have also published their works in foreign countries. One of the most popular authors of Ilocano ancestry abroad was the late Carlos Bulosan, a California immigrant born to Ilokano parents in Pangasinan. And currently, the most internationally translated Filipino author is an Ilokano from Rosales, Pangasinan–Francisco Sionil Jose, popularly known as F. Sionil Jose. He is famous for his Rosales saga, a five-novel work about an Ilokano clan, virtually documenting Philippine history from Spanish time to the years of the Marcos administration. The novels, translated in about 22 languages, are circulated and read around the world. Back home, many Iloko writers have won major prizes in the annual Palanca Awards, the most prestigious and most anticipated of all literary contests in the Philippines. These famous winners’ names include Reynaldo A. Duque, Ricarte Agnes, Aurelio S. Agcaoili, Lorenzo G. Tabin, Jaime M. Agpalo Jr. , Prescillano N. Bermudez, William V. Alvarado, Maria Fres-Felix, Clarito G. Francia, Arnold Pascual Jose, Eden Aquino Alviar, Severino Pablo, Ariel S. Tabag, Daniel L. Nesperos, Roy V. Aragon, Danilo Antalan, Joel B. Manuel and others. b) Central Visayas Region Cebuano literature, as much as most literature of the Philippines, started with fables and legends of pre-colonial Philippines down to the Mexican (New Spain) and Spanish influences. Although existence of a pre-hispanical  writing system in Luzon is attested, there is little proof that baybayin (sometimes erroneously called alibata) was widespread in the Visayas. Most of the literature produced during was oral. They were documented by the Spanish Jesuit Fr. Ignatio Francisco Alzinal. During Spanish times, the religious theme was predominant. Novenas and gozos, most notably the Bato Balani for the Sto. Nino. The literature during this time was predominantly propagandistic. At this time, the Cebuanos were still seething with resentment at the American betrayal of their hopes and the new colonizers were retaliating with restrictions on the freedom of expressions. The first written Cebuano short story is Maming, by Vicente Sotto, The Father of Cebuano Literature. The story was published in the first issue (July 16, 1900) of his Ang Suga. Two years later Sotto wrote, directed, and produced the first Cebuano play, Elena. During the American period, Ang Suga became the medium for publication of Cebuano writers. A community of writers slowly grow, to include the names of Florentino Rallos, Filomeno Veloso, Marcial Velez, Timoteo Castro, Segundo Cinco, Vicente Ranudo, Dionisio Jakosalem, Selestino Rodriguez, Filomeno Roble, Juan Villagonzalo, Leoncio Avila and Filemon Sotto. (Most of these people were recognized for their achievements by the generation right after them, as evidenced by the use of their names for major streets of the City of Cebu, but their role in the furtherance of Cebuano culture is lost to subsequent generations. ) Four typical novels on the love theme written by popular writers during the American period would represent the pre-war writers’ subconscious but collective efforts in creating a common core of meanings and values in the face of new American culture. These are Felicitas by Uldarico Alviola in 1912, Mahinuklugong Paglubong Kang Alicia (â€Å"The Sad Burial of Alicia†) by Vicente Garces in 1924, Apdo sa Kagul-anan (â€Å"Bitterness of Sorrow†) by Angel Enemecio in 1928-1929, and Ang Tinagoan (â€Å"The Secret†) by Vicente Rama in 1933-1934. While Felicitas and Paglubong assert the value of marital fidelity and Apdo that of feminine chastity, Tinagoan challenges the emergent value that tolerates divorce. Such novels were seen as fictionalized renditions of their writers’ stand or traditions and practices which were subjected to debate in the school stage and within the pages of periodicals. The pre-war period in the Philippines is sometimes referred to as the Golden Age of Vernacular Literature, with the 1930s marking a boundary between two kinds of popular writing: the predominantly propagandistic and the more commercialized escapist literature that proliferated since the Commonwealth. In the year 1930, Bisaya Magasin started publishing. In 1936 Cebuano writers started publishing anthologies; readers engaged in amateur literary criticism; and complaints of plagiarism livened up the weekly news. Periodicals that featured creative writing mushroomed, although most of these were short-lived. The generally considered first feminist Cebuano novel, Lourdes by Gardeopatra G. Quijano was serialized in the period May 26 to September 23, 1939 in Bag-ong Kusog (literary â€Å"New Force†), the most popular pre-war periodical. It has been predicted by no less than the late novelist and Philippine National Artist for Literature N. V. M. Gonzalez that Philippine literature in English will die, leaving the regional literature (Ilokano, Waray, etc. ). In the case of Cebuano literature, this has been the case. Some of the prominent writers and poets in the Visayas and Mindanao who used to write in English have shifted to Cebuano. Among them are Davao-based Macario Tiu, Don Pag-usara, and Satur Apoyon, and Cebu-based Ernesto Lariosa (a Focus Philippines Poetry Awardee in 1975) and Rene Amper (a two-time Palanca awardee for English poetry. These giants of Cebuano literature are now regularly contributing to Bisaya Magasin; their shift to Cebuano writing has influenced young Cebu and Mindanao-based writers in English to follow suit (among them are Michael Obenieta, Gerard Pareja, Adonis Durado, Januar Yap, Delora Sales, Cora Almerino and Raul Moldez). In 1991, Cebuano poet Ernesto Lariosa received a grant from the Cultural Center of the Philippines. He used the grant to introduce the 4-s in Cebuano poetry: social sense, sound and story. The language he used was slack, devoid of strong metaphors. He used the language of the home and of the streets. Writer-scholar Dr. Erlinda Alburo, director of the Cebuano Studies Center of the University of San Carlos noted in a forum sponsored by the university’s theater guild in 2003 that the young writers (those given above) have given a new voice to Cebuano fiction. They have introduced modern writing styles, experimented with the Cebuano language and explored themes which have never been elaborated before by their predecessors. There are now emerging number of publications featuring fiction and poetry in Cebuano. The ownership of the de-facto literary journal, Bisaya Magasin, was transferred from the Chinese-owned Liwayway Publishing, Inc. to Napoleon Rama’s Manila Bulletin Publishing in 2003, ushering a change in layout, acceptance policies, and an increase in contributors’ fees. Aside from the reinvigoration of Bisaya Magasin, Cebu-based publishing houses have also started tabloids in the language (Banat News of Freeman Publications and SunStar SuperBalita of SunStar Publications). This tabloids have bigger circulation than their English counterparts. There are also unconfirmed reports that Dr. Mel M. Allego, a giant in Cebuano literature, will be returning from the United States in 2007 and will start his own broadsheet in Cebuano. The U. P. National Writers Workshop every October and the Iligan National Writers Workshop every summer have reserved slots for Cebuano writers. In every edition of these workshops, there are Cebuano works that are being dissected or discussed by the panelists. In 1998, the Carlos Palanca Memorial Awards for Literature opened the Cebuano short story category. c) Eastern Visayas Region Modern East Visayan literature, particularly Waray, revolves around poetry and drama produced between the 1900s and the present. The flourishing economy of the region and the appearance of local publications starting in 1901 with the publication of An Kaadlawon, the first Waray newspaper, saw the flourishing of poetry in Waray. In Samar, Eco de Samar y Leyte, a long running magazine in the 1900s, published articles and literary works in Spanish, Waray and English. A noteworthy feature of this publication was its poetry section, An Tadtaran, which presented a series of satirical poems that attacked the changing values of the people at the time. Eco likewise published occasional and religious poems. In Leyte, An Lantawan, which has extant copies from 1931 to 1932, printed religious and occasional poetry. It also published satirical poems of Bagong Katipunero, Luro, Datoy Anilod, Marpahol, Vatchoo (Vicente I. de Veyra), Julio Carter (Iluminado Lucente), Ben Tamaka (Eduardo Makabenta), and Kalantas (Casiano Trinchera). Under these pseudonyms, poets criticized corrupt government officials, made fun of people’s vices, and attacked local women for adopting modern ways of social behavior.. With the organization of the Sanghiran San Binisaya in 1909, writers as well as the illustrados in the community banded together for the purpose of cultivating the Waray language. Under the leadership of Norberto Romualdez Sr, Sanghiran’s members had literary luminaries that included Iluminado Lucente, Casiano Trinchera, Eduardo Makabenta, Francisco Alvarado, Juan Ricacho, Francisco Infectana, Espiridion Brillo, and statesman Jaime C. de Veyra. For a time, Sanghiran was responsible for the impetus it gave to new writing in the language. The period 1900 to the late fifties witnessed the finest Waray poems of Casiano Trinchera, Iluminado Lucente, Eduardo Makabenta, and the emergence of the poetry of Agustin El O’Mora, Pablo Rebadulla, Tomas Gomez Jr. , Filomeno Quimbo Singzon, Pedro Separa, Francisco Aurillo, and Eleuterio Ramoo. Trinchera, Lucente, and Makabenta were particularly at their best when they wrote satirical poetry. The growing acceptance of English as official language in the country strengthened these writers’ loyalty to the ethnic mother tongue as their medium for their art. The publication of Leyte News and The Leader in the twenties, the first local papers in English, brought about the increasing legitimization of English as a medium of communication, the gradual displacement of Waray and eventual disappearance of its poetry from the pages of local publications. Where local newspapers no longer served as vehicles for written poetry in Waray, the role was assumed by MBC’s DYVL and local radio stations in the seventies. Up to the present time, poetry sent to these stations are written mostly by local folk – farmers, housewives, lawyers, government clerks, teachers, and students. A common quality of their poetry is that they tend to be occasional, didactic, and traditional in form. The schooled writers in the region, unlike the local folk poets, do not write in Waray nor Filipino. Most of them write in English although lately there has been a romantic return to their ethnic mother tongue as the medium for their poetry. Waray drama was once a fixture of town fiestas. Its writing and presentation were usually commissioned by the hermano mayor as part of festivities to entertain the constituents of the town. Town fiestas in a way sustained the work of the playwright. In recent years, this is no longer the case. If ever a play gets staged nowadays, it is essentially drawn from the pool of plays written earlier in the tradition of the hadi-hadi and the zarzuela. According to Filipinas, an authority on the Waray zarzuela, the earliest zarzuela production involved that of Norberto Romualdez’ An Pagtabang ni San Miguel, which was staged in Tolosa, Leyte in 1899. The zarzuela as a dramatic form enthralled audiences for its musicality and dramatic action. Among the noteworthy playwrights of this genre were Norberto Romualdez Sr. , Alfonso Cinco, Iluminado Lucente, Emilio Andrada Jr. , Francisco Alvarado, Jesus Ignacio, Margarita Nonato, Pedro Acerden, Pedro Separa, Educardo Hilbano, Moning Fuentes, Virgilio Fuentes, and Agustin El O’Mora. Of these playwrights, Iluminado Lucente stands out in terms of literary accomplishment. He wrote about thirty plays and mos