Saturday, December 28, 2019

African Americans in the Civil War - 1971 Words

Roman Robinson Kristen Anderson HIST 3060 February 25, 13 African Americans and the Civil War The role African Americans played in the outcome, and the road to the outcome of the Civil War was immense. The fact that the south had slaves and the north did not played an enormous role in the issues. The north wanted to abolish slavery, and the south did not and after the war started this became one of the main reasons for the Civil War. Since most African Americans could not read or write, this made them an easy target, for slavery, against the dominant white man. Once the slaves got to America they started to realize how much trouble they were actually in. The north and the south had a problem brewing, and that was due to the†¦show more content†¦This Union in particular contributed to the war efforts of the North and showed a new found power among blacks. The regiment started when John Andrew sent a request to the secretary of war, Edwin Stanton, to create a volunteer regiment of African Americans (3). African Americans from all over the country joined. To help recrui t even further they called for help from African American leaders like, Frederick Douglas and William Wells Brown. In just two months over one thousand African Americans, one from at least every state, had enlisted in the regiment. The leader of the regiment would not be black though, they wanted the superior officer to have some certain credentials. The job description posted read: â€Å"Young Man of Military Experience Of firm antislavery principles, ambitious, Superior to the vulgar contempt of color Having Faith in the capacity of colored men for military purpose† (2) The man picked for the job was Robert Shaw. The African American regiment and their captain set off for Beaufort, South Carolina on May 28, 1863 (1). They were to attack Fort Wagner, which was a vital key to Charleston. They only way to storm the fort was to go through loads and loads of Confederates. The sheer size of the Confederates to the Fifty- Fourth regiment was an obstacle in itself. The regiment knew the amount of obstacles they would have to overcome to achieve a victory and yet theyShow MoreRelatedAfrican Americans And The Civil War1076 Words   |  5 Pages Throughout history African Americans have had is bad in the United States. First they went through slavery which lasted about two hundred year and was ended around the Civil War which was in the 1860s-1870s. Next after they went through slavery they went through the law of Jim Crow that started after the Civil War which stated, â€Å"Separate but Equal†, and that was not the case because African Americans were still treated as second class citizens. Afte r about ninety years around the 1960s Dr. MartinRead MoreAfrican Americans and the Civil War774 Words   |  4 PagesEssay African Americans and the Civil War Slavery affected many of the political reasons that contributed to causing the Civil War in 1961. Most in the Northern states including President Lincoln were more concerned with preserving the Union rather than fighting for the freedom of all. On the other hand the South fought to preserve what they believed to be absolute state rights. However the overall goals of the war were altered significantly by the willingness of African Americans during war. ThisRead MoreAfrican Americans And The Civil War1449 Words   |  6 PagesWhen the Civil War began, they wanted to take part in fighting to free all slaves. At the end of the civil war passed the civil rights act that gave citizenship to people that are born in the united states, years later African American men were given the right to vote. This might give equal rights but African Americans are still being discriminated. Almost century later, African Americans are still being discriminated. They got jobs and their kids go to school, but more notice that it wasn t rightRead MoreThe Civil War On African Americans Essay1421 Words   |  6 PagesThe years preceding the Civil War were monstrous for African Americans located in the South of the country. Northerners and Southerners would argue that their visions of how society is structured is the right way and should be expanded throughout the nation. Southerners claimed that slavery is okay, and it’s a positive labor system. On the contrary, Northerners claim that laborers should be paid by wage, men should have equal opportunities, and slaves should gain freedom. The four most significantRead MoreAfrican American And The Civil War876 Words   |  4 PagesIn 1865, when the civil war ended in America and slavery was abolished, the African American population in the South faced many challenges related to their new found freedom. Following the pos t-Civil War Reconstruction period, white supremacy resurfaced in the South (AE Television, 2015). Beginning in the early 1900s through 1970 there was a mass exodus of African American s from South to North America. Although some African American s were known to have moved from the South as early as 1850Read MoreThe Civil War Of African Americans1010 Words   |  5 Pagescentury. For an African American, the word â€Å"life† evolved from a word that meant absolutely nothing, to a word that stood for an individual’s highest commodity. After the civil war, emancipation for slaves transformed from a dream to a reality. Although the civil war finally ended in 1865 after four years of fighting, certain citizens and groups across the nation still remained in a state if disagreement with the freedom granted to African Americans. The years after the civil war revolutionizedRead MoreAfrican Americans And The Civil War1309 Words   |  6 PagesIn the summer of 1619, the fir st Africans were brought to Jamestown, Virginia not to live as free settlers but as subordinate slaves. They worked strenuously for Whites, who considered themselves superior to Africans, without much benefit. Racism is not just the belief that one race is superior to others, but the act of negatively identifying individuals based on the color of their skin. Attributing race to individual character has proven to have negative implications that are difficult to mend.Read MoreAfrican Americans And The Civil War1540 Words   |  7 Pageshistorical backdrop of the United States, African Americans have dependable been victimized. When Africans first came to America, they had no choice but to be slaves. The progressed toward becoming slaves to the rich, covetous, lethargic Americans. African Americans had given no compensation and regularly whipped and beaten. They battled for their opportunity, yet when the Civil War came African Americans had this logic that if they were to join the Ci vil War they could liberate all slaves. HoweverRead MoreAfrican Americans And The Civil War859 Words   |  4 Pagesslavery, predominately in the American South, African-Americans were finally set free from bondage. The fourteenth and fifteenth amendments quickly followed, granting citizenship to â€Å"all persons born or naturalized in the United States† and granting African American men the right to vote, respectively. Naturally, Americans denoted these momentous legislative feats, collectively packaged as the Reconstruction Amendments, as a means of celebration for African-Americans. However, in order to rectifyRead MoreAfrican Americans And The Civil War971 Words   |  4 PagesAfter the civil war African Americans hoped that the world they lived in would be an equal one; little did they know they had more struggles to conquer. Three major amendments were passed to provide African Americans with equality; the 13th amendment officially and finally put an end to slave ry and any future involuntary servitude, the 14th amendment states that colored men and women were given citizenship, and the 15th amendment gave black men the right to vote. Although these amendments were passed

Friday, December 20, 2019

The Concept Of Termination A Phase Of The Intervention...

The concept of termination is a term that is used as a phase of the intervention process. In human behavior termination relates to the combination of everything done to this point leading to attachment and separation. Termination is the last step between the client and worker. There are many different reasons for termination. Before termination evaluation information is gathered. Formative evaluation is done to gather ongoing feedback as the group evolves for improving and refining the group to improve outcomes. Summative evaluation’s purpose is to determine whether a group has met its goals and should be continued. Group leaders should also consider methods of evaluating whether the group was implemented and conducted as planned. The†¦show more content†¦The theory provides a comprehensive conceptual framework for understanding how emotional ties within families of origin (including extended family members) influence the lives of individuals in ways they often fail t o appreciate and may tend to minimize (Bowen, 1978; Kerr Bowen, 1988). family systems theory do not clearly address issues related to ending intervention. There may be two reasons for this lack of attention. Family systems theory emerged during a time when family therapy was conducted primarily by private practitioners not typically faced with time limits. Further, the theory is influenced by psychodynamic thought, which is largely focused on insight development rather than problem solving with a distinct ending point. The absence of guidelines for ending family systems interventions is problematic because the theory s concepts are abstract and provide practitioners with little direction for determining when a family has achieved its goals. The purpose of this article is to help amend this oversight and provide a set of ending strategies that are consistent with the theory s concepts. We begin with a brief overview of the theory and its intervention strategies and then provide a se t of termination strategies. Family systems theory, sometimes called family emotional systems theory, provides a comprehensive framework for understanding how the emotional ties within families of origin influence people throughout their lives

Thursday, December 12, 2019

Segment Reporting Practices In Australia - Myassignmenthelp.Com

Question: Discuss About The Segment Reporting Practices In Australia? Answer: Introducation Woolworth Ltd is a public company which was established on 22nd of September 1924 and is ranked number two of 2000 companies in Australia (Kang Gray 2013, p. 238). Its headquarters are located at Bella Vista, New South Wales. It is reported to generate the highest percentage of revenue for the country through its super markets and grocery stores. The company has various stores and petrol stations which enable it to get maximum profits. It falls under retailing industries. Retail industries have unique characteristics which make them different from other industries. They have a constant evaluation of their businesses; they can learn from mistakes and create a business out of it. They have a valuable goal and vision. These industries address a real unmet need; they are able to satisfy customers needs. Scaling is also a unique characteristic that helps retailers grow. They are able to identify companies with the same goal and vision and buy it for the purpose of expansion (Goodman Remaud 2015, p. 120). These characteristics are all shown by Woolworths limited. From its goals and vision to meet the unmet goals to expansion indicate that it is a retailing industry. Research that was done recently shows that Woolworth is slowly losing its market share to Cole. Australian spent almost a billion dollars less from Woolworth which is believed to be spent at Cole and Aldi's organisations. This has led to a big loss to Woolworth. In 2016, Woolworth was in a financial crisis, for the whole year it experienced a loss of $ 1.28 billion (Kang Gray 2013, p. 240). This was a huge amount of money attributed to failed home improvement ventures and some of groceries and petrol stations slashing. This caused many of the stores to be closed up leading to most jobs being lost. List of References Goodman, S. and Remaud, H., 2015. Store choice: How understanding consumer choice of whereto shop may assist the small retailer. Journal of Retailing and Consumer Services, 23, pp.118-124. Kang, H. and Gray, S.J., 2013. Management reporting practices in Australia: Has IFRS 8 made a difference?.Australian Accounting Review, 23(3), pp.232-243.

Wednesday, December 4, 2019

Cognitive Behavioral Therapy for Suicide- myassignmenthelp.com

Question: Discuss about theCognitive Behavioral Therapy for Suicide. Answer: Introduction: Depression is one of of the common reason among the adolescent which needs treatment. Cognitive-Behavioral Therapy (CBT) is the widely used physiothearphy which is used in treating the young and the adolescents suffering from depressions. A suicidal attempt is the peak cause of deaths in adolescents today and these numbers are increasing day by day. Suicide is one of the foremost reasons for death all over the world in adolescents. It has a major effect on the comfort of the person, reasons of momentous death and mental diseases and has the same effect on their family members, society, and health of their parents. Stress, majorly forms an interpersonal conflict and primarily triggers the depressive episode or the suicidal disaster in the predisposed youths. To prevent these cases number of different methods has been adopted which deals with the suicide ideation but the most effective method is Cognitive Behavioural Therapy. CBT Treatment of Depression: Suicide is the third reasons for the deaths in youths. The main reasons for the suicidal attempts in the adolescents are a depressive disorder. Here it has been found that Cognitive Behavioural Therapy can beneficial in improving the health and prospective of teens, it also improvesskills to handle theirproblem and competitionin life. All of which have been mentioned are the problems usually is with persons whohave suicidalideas. It has been believed that hopelessness is number cause for depression and needs treatment. Meanwhile, there are many treatments available for treatment but CBT has been proven the best because it deals with the roots in the sucidial feelings that were the problems has been started. The study discussed was intended to assess the effectiveness of CBT in declining in the depths suicida lideation and hopelessness in the young depressed adolescents who had a positive complete history of earlier suicidal attempt in the precedent months (Cakovic, 2008).. In a study, it has been seen that when the patients have been treated through CBT then an effective decrease in the graph of suicides so it has proved to be the suitable for sucidial cases. In 2011 to 2012 youth of age 12 to 18 years were admitted to the hospitiles after the sucide attempt whot tried in last 3 months from the different parts of the country and there parents reported that there child was under depression rom a perticular period of time (Cakovic, 2008). The CBT teratment was started with a randomized selection process. In this individulas from different parts of the country were selected on the bases of the seriousness of the sucidial attempt. In the first treatment, there were 107 youngstres which were between the age of 13 to 18 years and the has to be treated with the major depressive disorder (Cakovic, 2008).. They were divided into 3 different groups nad has to pass through three treatment phases which are as follows: First is CBT for the individual, second is systematic behaviour family therapy and last is Individual nondirective supportive therapy (Hides et.al, 2010). Each treatment consists of 12 to 16 phases which last for 10 to 16 weeks. There are aloso a special 2 to 4 sessions. Participents who were diagonsed through CBT shows lower MMD as compared to the non directive supportive tharepy. It was recorded that there is 30 percent decrease in the suicide case after the individuals who had passed through different sessions. So what was that which helps to reduce sucidial cases, it is nothing but to improve the ideation and thinking capability of the company. A second treatment was conducted where 206 depressed college students, Same randomized proceses were taken into use for selecting the individuals (Hides et.al, 2010). For the 12 weeks only to treatment were followed one is same CBT for individual and second is Serotonin Reuptake Inhibitor, in this different symptoms were recorded which are recorded through observing thoughts, ideation (Nelson Duncan, 2015).. A list was made after the following treatment; this list was future base for the comparison for the decrease in the suicide cases (Carmin, 2012). The inventory contains the name, their personal details, the reason for the suicide attempt and seriousness of the reason which compels him or her to attempt a suicide. It was recorded that uncontrollable depression. It is the almost the same reasons for the suicidal attempt and depression is due to many different causes from individual to individual. One most common cause is the hopelessness (Carmin, 2012). There are nostatistic major differences in all of the above mention tools which measure the chance of depression.The age distribution of the groups was not so different on which the report was made. This means that these two groups were same and equivalent and the experimental differences after the involvement can be attributed (Bowers, 2002). Since there had been different studies which had proved the congitive behavioural therapy most effective, which helps to remove the deep reason for the suicidal ideation. After the complete CBT treatment the individuals vere felt very motivated and a life time opportunity for living (Kathryn McHugh, 2010). Females were at the top of the list as they come out of the weared situation of the life which became the reason for the sucide(Nelson Duncan, 2015).. The scores which are mentioned in the control group after 3 months did not change significantly in all of them, but the scores in all of these lists decreased considerably in these group Some limitations of CBT (Kathryn McHugh, 2010). According, to the CBT report, the problems with the youth are lack of motivation in the individual because of different. So a suitable way in the treatment was found so that a feeling of inspiration should be filled which was the first step in one of the phase. Results of the cognitive behaviour therapy were outstanding because of the decrease in the rate of the suicidal attempts (Nielsen, 2015). It also reported that modern life style is also a reason for suicide because of the increase in the pressure of wether studies or work, society or family pressure puts strains on the brains of the individual force an individual to hopelessness results trying for the suicide. In the inventory, it was clearly mentioned that lack of good parenting style increases the depression in the adolescents (Nielsen, 2015). Different phases of the CBT mission only to find the key rooted reason, different therapy was preformed so that a complete scanning of the i ndividual was done. The scores which are mentioned in the above table after 3 months of study do change significantly but the scores in the entire above table are ininventory reduce significantly in the intrusion set. Conclusion: A considerable progress had been achieved in the reducing the suicidal attempts by CBT method of treatment in the past several years in adolescents. Cognitive behaviour therapy is the well established treatment for the children and adolescents (Lorenzo et.al, 2016). It gives us the evidence about the complicated reasons, so that in future there will be a decrease in the suicide cases. It shows that different angry feelings and losing self-control increase the depression in the adolescents. In CBT adolescents were asked to keep cool in every situation in life (Bowers, 2002). So, CBT treatments lay emphasis on the deeper reasons before it starts its treatments. The number of therapies for depression has increased, there is still little evidence based information indicating how or why these treatments work (Lorenzo et.al, 2016). Although an ultimate treatment for adolescent suicide who attempts suicide has yet to be established, the limited records suggest that suicidal thoughts and behaviour should be directly addressed for best treatment result (Bowers, 2002). Training adolescents in specific skills for coping depression and affect good techniques that can be applied to thoughts and behaviours associated with suicidal cases. However, future trials for the CBT is very necessary because it has been proven the optimal way to reduce the suicidal risk in the individuals and the parents of such individuals should actively participate in the forcing their children who are depressed and hopeless in life to pass through the CBT treatment process which helps them to remove the ill thought from their mindsets (Persons, 2016). References Bowers, W. (2002). Cognitive therapy for anorexia nervosa.Cognitive And Behavioral Practice,9(3), 247-253. https://dx.doi.org/10.1016/s1077-7229(02)80056-6 Cakovic, L. (2008). CBT treatment of depression-case study.European Psychiatry,23, S299. https://dx.doi.org/10.1016/j.eurpsy.2008.01.654 Carmin, C. (2012). Cognitive Behavior Therapy With Older Adults.Cognitive And Behavioral Practice,19(1), 87-88. https://dx.doi.org/10.1016/j.cbpra.2011.07.001 Hides, l., samet, s., lubman, d. (2010). Cognitive behaviour therapy (CBT) for the treatment of co-occurring depression and substance use: Current evidence and directions for future research.Drug And Alcohol Review,29(5), 508-517. https://dx.doi.org/10.1111/j.1465-3362.2010.00207.x Kathryn McHugh, R. (2010). Evidence-Based Practice of Cognitive-Behavioral Therapy.Cognitive Behaviour Therapy,39(1), 78-78. https://dx.doi.org/10.1080/16506070903190260 Lorenzo-Luaces, L., Keefe, J., DeRubeis, R. (2016). Cognitive-Behavioral Therapy: Nature and Relation to Non-Cognitive Behavioral Therapy.Behavior Therapy,47(6), 785-803. https://dx.doi.org/10.1016/j.beth.2016.02.012 Nelson, E., Duncan, A. (2015). Cognitive Behavioral Therapy Using Televideo.Cognitive And Behavioral Practice,22(3), 269-280. https://dx.doi.org/10.1016/j.cbpra.2015.03.001 Nielsen, M. (2015). CBT group treatment for depression.The Cognitive Behaviour Therapist,8. https://dx.doi.org/10.1017/s1754470x15000173 Persons, J. (2016).Science in Practice in Cognitive Behavior Therapy.Cognitive And Behavioral Practice,23(4), 454-458. https://dx.doi.org/10.1016/j.cbpra.2016.01.003

Thursday, November 28, 2019

Library Bucket List for Writers - The Writers For Hire

LIBRARY BUCKET LIST FOR WRITERS It has been said that the very best writers in the world learned their craft by reading the works of other great writers. After all, just as you could never truly learn a language without hearing it, it is impossible to know what good writing looks like without reading it. And what better place to read than a library full of books? Not all libraries are created the same, though. Here are 11 incredible libraries that every writer should put on their â€Å"must see† bucket lists! Biblioteca Joanina- Coimbra,Portugal This incredible baroque-style library is not just aesthetically pleasing. It also acts as home to a colony of bats. Apparently, the bats protect the library’s books by eating potentially harmful insects within the library. Trinity College Library- Dublin, Ireland Trinity College Library- Dublin, Ireland El Escorial Library- El Escorial, Spain This gorgeous library dates back to the Spanish Renaissance. It features black and white marbled floors and a spectacular arched ceiling that is said to have been the inspiration for the Vatican library. The City Library- Stuttgart, Germany If you are a fan of modern architecture and clean lines, this is the library for you. The entire interior is done entirely in white, with the only touches of color coming from the books and the muted gray-blue furniture. George Peabody Library- Baltimore, Maryland This incredible library is known as the â€Å"cathedral of books.† The library, which houses a 300,000 volume book collection, boasts a spectacular five-tiered atrium with black and white marble floors, gold-lined columns, and beautiful cast-iron balconies. The Raza Library- Rampur, India Once part of the royal palace, this stunning library is now considered a protected monument under the rule of the Indian government. The library’s impressive collection includes 17,000 rare manuscripts, 205 hand-written palm leaves, and 5,000 miniature paintings. The British Library- London, England The British Library is the national library of the United Kingdom, and is also the largest national library in the world, housing over 200 million items from around the world. Located next to the spectacular Kings Cross Station, the library boasts a large variety of treasures, including hand-written song lyrics by the Beatles, Leonardo DaVinci’s notebook, and the Magna Carta. Austrian National Library- Vienna, Austria This remarkable baroque-style library originally opened in 1723, as a royal library. Its exquisite bookcases are surrounded by grandiose columns, beautiful frescoed ceilings, and checkered marble floors. Biblioteca Nazionale Marciana- Venice, Italy Every year thousands of tourists flock to the Piazza San Marco in Venice, Italy. However, few of them take the time to step into the magnificent Biblioteca Nazionale Marciana. This beautiful renaissance-style library is one of the oldest remaining libraries in Italy, and houses one of the greatest collections of classical texts in the world. Biblioteca Nazionale Marciana- Venice, Italy Bilioteca Nacional do Brazil- Rio de Janeiro, Brazil This impressive neo-classical library is the largest library in Latin America, and the 7th largest in the world. Its incredible collection includes over 9 million items, and boasts an extensive collection of rare photos from as early as the 19th century. The Tianyi Pavilion Library- Ningbo City, China This exquisite library is the epitome of beautiful Chinese architecture. The library, which is the oldest private library in the world, is home to 300,000 ancient books, including a number of wood-cut and handwritten titles.

Sunday, November 24, 2019

Union Structure and Governance

Union Structure and Governance Introduction The purpose of this study will be to analyze the structure and governance of a national or international union that addresses the plight of workers.Advertising We will write a custom term paper sample on Union Structure and Governance specifically for you for only $16.05 $11/page Learn More The union that will be focused on in this study will be the International Brotherhood of Electrical Workers (IBEW) which is a labor union representing the needs of workers employed in the electrical industry in the United States, Panama and Canada as well as other workers employed in the public utility and electrical manufacturing industry. The union also represents the interests of workers employed in computer, broadcasting and telecommunications sector. The main objective of the IBEW is to promote reasonable working conditions for all electrical workers under the union and also cultivate feelings of brotherhood/friendship among the various employees that fa ll under the union (Hill, 2008). History of the Union The beginning of IBEW can be traced back to the Electrical Wiremen and Linemen’s Union which was founded in 1890 in St. Louis, Missouri. Both wiremen and linemen flocked to St. Louis to demonstrate their trade by wiring the buildings in the city with electricity lines so as to exhibit their trade. During the exhibition, the workers got together to talk about their jobs and also the working conditions of electricians in the electrical industry. There was a general consensus that their jobs were hard and they worked for long hours with little pay (12 hours a day for 15 to 20 cents per hour). The workers did not receive any training or apprenticeship during the first week of their jobs and the safety standards especially for the wiremen were nonexistent which meant that they were exposed to dangerous working conditions. These poor working conditions led to the industry having the highest mortality rates of one out of two hire d employees in the whole of America. The Convention and the growing electrical industry were basically the starting points of the Brotherhood (IBEW, 2005). The following year, 1891, saw a growing interest to have a national union that would address the plight of electrical workers in the US. The Convention that took place in St. Louis approached the American Federation of Labor (AFL) to receive a charter that would operationalise the Electrical Wiremen and Linemen’s Union.Advertising Looking for term paper on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More The Electrical Wiremen and Linemen’s Union under the charter No. 5221 was established in 1981 as a national organization that would address the labor needs of electrical workers within the electrical industry as well as other workers in the telecommunications, telegraph and electrical manufacturing industry. During their first year of operation, the union organized a convention in St. Louis where ten delegates representing the 286 members of the electrical industry attended the convention (IBEW, 2005). The ten representatives included Henry Miller, the president of the union, J.T. Kelly, W. Hedden, C.J. Sutter, H. Fisher, F. Heizleman, J. Berlowitz, T.J. Finnell, M. Dorsey and E. Hartung. These ten delegates formed the founders of the union and they adopted a different name for the organization known as the National Brotherhood of Electrical Workers. They worked for hours drafting a constitution for the union which would stipulate the laws and procedures that would guide the operations of the union. They also came up with the well-known emblem of the union, a fist grasping several lightning bolts, which would be used to distinguish the organization from other unions in the US. During the Convention, the delegates elected Henry Miller as the first Grand President of the union and they also elected T. Kelly as the Grand Secre tary Treasurer of the union. In the 1899 Pittsburgh Convention, the union decided to change its name to the International Brotherhood of Electrical Workers. The membership during that time had reached 2,000 members with over 43 chartered local unions in the whole of America. The current number of members now stands at 750,000 in the four countries covered by the union (Panama, Canada, US and some parts of the Caribbean’s) (IBEW, 2005). The type of employers the International Brotherhood of Electrical Workers bargains with includes the electrical manufacturing industries, public utility companies that offer electricity to consumers, electrical installation companies, wiremen and linemen contracting agencies. The union faced adversity during its first year of operation as it received a lot of criticism and indignation from employers working in the mentioned companies. Many of these employers were trying to drive out trade unions in the country by organizing open shop campaigns in the national level. The union however sought to reduce tensions between employers and employees in the electrical industry by forming the Council on Industrial Relations which would be used to represent the interests of managers and employees (IBEW, 2005).Advertising We will write a custom term paper sample on Union Structure and Governance specifically for you for only $16.05 $11/page Learn More Hierarchical Structure of the Organization The IBEW is made up of three functional bodies which make up the structure of the union and these include the executive body which is made of the International President, the International Secretary-Treasurer, International representatives and the eleven International Vice-Presidents that manage the district level operations of the union. Other offices that fall under the executive body include the local union offices as well as the membership of IBEW. The judicial and legislative bodies of the union are made up of the International Executive Council which is made up of a chairman and eight elected members working in the district offices. The International President is charged with the general administration of the IBEW and the responsibilities that come with the international office are varied and distinct (IBEW, 2005). Some duties of the International President include implementing the laws of the Brotherhood, overseeing any controversial issues that might arise within the organization, acting on any appeals that might arise from decisions made by the International Vice Presidents, deciding on IBEW policies and procedures, chartering and amalgamating various unions that have been established in the local level and suspending or revoking any local union charters that do not serve the interests of IBEW’s members. The International Secretary-Treasurer is primarily charged with the role of handling the financial matters of the IBEW International office such as investments and pension funds. T he responsibilities of the treasurer include collecting, disbursing and accounting for all union funds, maintaining records of the organization’s membership and receiving all signed applications for the local union charter. The treasurer is also charged with protecting the seal and emblem of the Brotherhood (IBEW, 2005). The eleven International vice presidents that make up the district office and have been elected by the local unions work under the instructions of the International President of IBEW. The duties of the vice president include supervising the activities of all International Representatives within the district branch offices and also act on appeals that might come from members of the local unions. The internal bodies that exist in the local unions include presidents who are charged with enforcing the constitutional provisions of the union, vice presidents who are charged with assisting the local president with office duties, recording secretary who is charged wi th the role of keeping the minutes of local union meetings as well as maintaining all meeting records, the financial secretary who is charged with handling all the funds collected by the local union (IBEW Constitution, 2008).Advertising Looking for term paper on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Another member of the local union is the treasurer who receives all collected funds from the financial secretary and deposits them in the bank under the name of the local union and the business manager who is charged with the role of representing the local union in any trade disputes with industry employers. The business manager appoints all stewards within the local unions to effect bylaws that will be needed to effectively manage the functions of the local union. The business manager also conducts training programs for all stewards as well as enforcing all collective bargaining agreements. The International Executive Council (IEC) and the legislative body are charged with managing the judicial and legislative aspects of the union. The IEC is the final authority that is used when granting pensions, disability benefits and also handling the vested interests of the union’s members. The two bodies also act on appeals that are made by the International President and they try mem bers of the local union who have been charged with violating the laws and rules of the IBEW (IBEW Constitution, 2008). The diagram below represents the hierarchical structure of the IBEW and the various offices/bodies that make up the organization. Source: IBEW, 2005 Financial Flow of the Union The financial flow of the union is mostly made of funds collected from union dues, pension benefit funds and the general funds that are used to manage the day-to-day operations of the union. Members of the organization are meant to contribute $10 every month so as to manage the collective bargaining activities of the organization. The amount of pension funds that are collected from individuals within the union amounts to $3.50 per month for each full year of continuous membership that the member has with the union. The fund also pays death benefit to any of the member’s beneficiaries which could be $6,250 if the member dies of natural causes and $12,500 for any accidental deaths (IBEW Union, 2011). Union dues refer to the financial funds that are usually paid by the members of a union every month to support the general operations of the organization and its officers. The union dues structure of the IBEW covers two parts of the union’s structure which include the international and local union offices. The dues that are allocated to the international office are basically used to maintain and support the administrative and legal functions of the office as well as legislative procedures such as court appeals and trials which have been forwarded to the IEC. The bulk of union dues are usually allocated to the local union where the funds are used to manage the expenses of the offices as well as handle collective bargaining, member grievances, arbitrations and contract negotiations with employers. A basic union dues structure is made up of two parts: the local union and the IBEW per capital segment where the local union determines its dues by the operational cost s and expenses incurred by every local union within the various districts of the US (IBEW Union, 2011). Union dues are usually determined by the members of the local union as they are the only people who have the power and ability to change the amount of dues they have to pay ever month. The IBEW Per Capita structure of the union dues involves a monthly payment of $11set by the International Convention and which is meant to be paid by all members of the union. The monthly charge is usually used by the local union to fund the operations of the First District Office and it can only be changed by the elected delegates of the Convention. The diagram below represents the structure of and distribution of union dues in the organization (IBEW Union, 2011). Governing Entities within the organization The International Convention is the highest governing body of the Brotherhood. The union Constitution postulates that the IBEW member delegates meet every five years at a regular interval to dis cuss union matters and any labor issues that might arise in the electrical industry during the five-year duration. The international Convention therefore oversees these meetings during which it elects International Officers such as the president and secretary treasurer if there is need for reappointment or re-election. The International Convention also determines the basic law that will be used by the IBEW through the number of votes that have been cast for proposed resolutions and constitutional amendments to the union Constitution. The international Convention also has the final authority and decision on any appeals that have been made in the international, national and local offices of the union. The various entities that make up the Convention include delegates and member committees (IBEW, 2005). The delegates of the Convention are usually selected through secret ballots garnered from the members of the union. The level of delegate representation is usually based on the number o f members a local union has registered where the maximum number of delegates per local union is 15. The Convention further stipulates that no local union is entitled to representation unless it has been of good standing for the last six months before the International Convention. The committees in the Convention are usually formed by the International President who is authorized by the governing body to establish committees that will perform the basic functions of the Convention such as resolution action, the development of reports and recommendations that will be used to deal with disputes or conflicts between employers and employees. Another governing entity that oversees the functions of the IBEW is the International Executive Council (IEC) which deals with the judicial or financial aspects of the union. The IEC is the final authority when it comes to making decisions on granting pensions, disability benefits and also dealing with the vested interests of the union’s member s (IBEW, 2005). The types of boards exist under the local union and these include the examining board and the executive board. The purpose of the examining board in the local union is to examine and review the various applications for membership forwarded to the union for consideration. The examining board assesses the qualifications of various applicants according to the various sections of the union Constitution to determine if they qualify to be members of IBEW. The executive board on the other hand is involved in hearing all charges that are brought against the members of the union and trying them according to the bylaws and working rules of the local union (IBEW Constitution, 2008). The executive board therefore acts as a trial board as it has to consider all matters properly before making any major decisions with regards to any charges or violations brought against a member of the organization. Apart from the IEC, other councils that exist in the IBEW include the railroad coun cils and system councils which address any union issue within the local union railroad industry. Railroad councils are subject to the rules that govern local councils while the system councils are formed by the International President for collective bargaining purposes under the direction of the president. If the local union is unable to establish a railroad council, they can be able to form a system council to address any disagreements that arise (IBEW, 2005). Appointment of Union Members According to the union Constitution, the various officers of the IBEW are usually nominated and elected by delegates who have been duly selected in the International Convention. The circumstances under which International Officers are chosen for the post of International President and International Secretary-Treasurer in the IBEW is when either of the two officers dies before completing their term, their term contract has expired, they are found to be in violation of the union Constitution or they have committed an offense that is deemed punishable by the International Convention (IBEW Constitution, 2008). The only requirement for a person to be elected to any of the positions is that they should have a five-year standing relationship with the union. This basically means that union members who have not had any violations or charges placed against them can be able to apply for the post of International President or International Secretary-Treasurer. The two International Officers are usually elected by secret ballot or per capita tax votes when there is more than one candidate for the position. Once they are selected, they are expected to assume office in 30 days and they can serve for a term of five years until their successors are nominated and elected (IBEW Constitution, 2008). Other positions that are elected in the IBEW include the eleven positions for vice presidents which are usually elected by the respective vice presidential districts and the delegates that fall unde r the International Convention who are usually elected through a secret ballot election. The positions that are appointed within the IBEW include the Resolutions Committee which is appointed by the International President to document any resolutions to trade disputes that have occurred between employers and employees of the trade union. The positions and offices within the Railroad Councils and the System Councils are also appointed by the International President in the IBEW where the IP follows the bylaws of the Constitution when selecting the various members of these councils (IBEW Constitution, 2008). Culture of the Union The culture that exists in IBEW is that of reform and business unionism where the union is interested in offering its members fair housing and better working conditions as well as attaining a 5% wage increase for all its members under IBEW. The history of IBEW has been one of business unionism and reform where the various officer holders have tried to negotiate for better working and living conditions for the various members under the union. As a result of reformist cultures within IBEW, the wages and working conditions of the union’s members have improved considerably when compared to other industries in the country. Because of the culture of reform and socialist unionism, members of IBEW have been able to enjoy better health care and welfare services as well as improved pension benefits, longer holiday vacations and shorter workdays. These reforms have been able to take place because of the cultivation of intelligent people to manage the affairs of the union (IBEW, 2005). The culture of reform has been instilled in the various office holders to necessitate changes for employees working within the electrical industry so that they can enjoy proper working conditions as well as long-term benefits. The heritage of IBEW is vibrant and strong as the various beliefs and value systems practiced by all previous office holders have been pas sed down the line of successors. The use of local leadership has also enhanced the culture of reform within the union where talented and tenacious leaders have been selected to represent the union in various forums. Proper leadership has ensured that a culture of social reform is established in the union where the individual needs of members and their beneficiaries/families are addressed to maintain a high standard (IBEW, 2005). The mission and priorities of IBEW include organizing all workers in the US or Canadian electrical industry and other member countries as well as organize workers in the public utility and electrical manufacturing industry. IBEW is also charged with promoting reasonable work conditions for its members as well as reasonable salaries and wages. Another mission of IBEW is to settle any disputes that might occur between the employers and employees of the organization and also assist each of the members and their families through periods of distress, death and si ckness or material loss. The main priority of IBEW is to reduce the number of hours daily laborers such as the wiremen and linesmen work as well as seek higher compensation, improved standards of living and working for its members (Hill, 2008). Union Mergers In 1908 when the union was experiencing a period of success and stability, an internal struggle emerged within the organization that saw the secession of a large percentage of the Brotherhood. This split was mostly caused by a growing dissension amongst the wiremen and linemen of the poor management of the union’s high-ranking offices. At the same time, employers within the electrical industry were bent on destroying the Brotherhood so they fostered the internal struggles that were taking place within the union at that time. The secession that took place IBEW was referred to as the Reid-Murphy split after the two officers who were elected by the seceding factions of the split (IBEW, 2005). While the Reid-Murphy group spli t from the Brotherhood, Frank J. McNulty and Peter W. Collins remained the recognized office holders of the Brotherhood. The result of the secession saw two trade unions being formed to address the concerns of employees in the electrical industry with the Reid-Murphy faction having the majority of members. The structure of the Brotherhood was not affect in a major way as McNulty and Collins were able to remain as the official office holders of the union but their functions were somehow impeded because of the separation of funds and resources between the two factions. These split was however reversed by a court decision in 1912 that saw the 1908 Convention null and void. Union funds that had been taken by both factions were restored to the recognized group under the union Constitution by the court. The seceding group later merged with the Brotherhood in 1914 after they agreed to end their differences and focus on serving the needs of IBEW members (IBEW, 2005). Union Affiliations In 1 982, the International Brotherhood of Electrical Workers become affiliated with the Canadian Federation of Labor to enhance its activities of safeguarding the welfare of wiremen and linemen in Canada while in 1989, IBEW entered into an affiliation with the committee on political education (COPE). This was meant to improve the involvement of organized labor in the active education and registration of voters during the union election process. Another affiliation that the IBEW had was with the Canadian Labor Congress in 1997 which has been identified as a re-affiliation in the historical records of the Brotherhood. The unions and associations that have allied themselves with IBEW include the Electrical Workers’ Benefit Association, the Canadian Signal and Communications Union and the Pension Investment and Employee Benefits Department (IBEW, 2005). Conclusion The sole purpose of this study has been to analyze the structure and governance of IBEW, a union that deals with the labo r issues of employees working in the electrical industry. The discussion has focused on the structure of the union by looking at the various positions and office holders that make up the union as well as examining the various roles and responsibilities that these members play in the union. The study has also focused on the various governing bodies that govern the operations of IBEW which include the International Convention and the International Executive Council. The study in general has been an analytical analysis of the various faucets and bodies that make up the International Brotherhood of Electrical Workers. Questions Qn.1: Sections 1 up to 21 of Article XX of the AFL-CIO Constitution sets forth the various provisions that will guide the relationships of affiliates within the Federation and how each of the affiliates should relate with other affiliate members within AFL-CIO. For example Section two of the article sets forth that every affiliate member of the organization shall observe the established collective bargaining relationships that exist amongst the affiliate members of the organization which means that no member affiliate will attempt to represent employees who have an established collective bargaining relationship with another affiliate in the federation. Article XX is important for unions such as IBEW as it provides an established work relationship amongst the various unions that fall under AFL-CIO. The article provides a basic framework of how unions representing the interest of employees in one industry should conduct themselves to avoid any union disputes. Article XXI of the AFL-CIO Constitution talks about the organizing of responsibility procedures where the various member affiliates of the federation resolve to organize competition in situations where competition might be detrimental in serving the best interests of workers. This article is important for unions that want to represent the interests of workers from one industry. Section 2 of the article stipulates that any affiliate members of the federation that is actively engaged in representing and organizing employees from a particular industry can be able to seek for authority to enable them be the exclusive representative of these employees within that industry. Article XXI is therefore meant to limit the amount of competition amongst unions willing to represent the interests of workers within one industry (AFL-CIO, 2011). Qn. 2: One constituent group of the AFL-CIO is the coalition of black trade unionists (CBTU) which serves the needs of African American workers in the United States. While CBTU is not a civil rights organization, it provides the black workers in the US with a forum within the union movement to voice their concerns about organized labour in the country. The mission of CBTU is to meet the working needs of African Americans within the US by presenting their concerns to the union movement, AFL-CIO. The main activities of the organization includ e; improving the economic development of black workers by providing suitable employment opportunities, working together with the trade union movement so as to provide a voice for black workers in America, increase the union involvement of black workers by increasing awareness through voter education and voter registration, actively supporting civil rights groups that are trying to improve the working conditions of black people within the country and organizing black or minority group workers who are unorganized (CBTU, 2011). CBTU provides value to its members as it seeks to support programs and initiatives aimed at reducing the level of unemployment amongst black Americans in the United States. The organization collaborates with school systems to ensure that black students are equipped with the necessary skills that will allow them to gain useful employment once they complete their education. CBTU also adds value to its members by looking for ways to deal with the escalating prices in food, housing and medical services. It has established important alliances with various organizations within the American community to ensure that the financial burden is reduced (CBTU, 2011). Qn.3: One campaign under the Change to Win affiliate program is the Warehouse Workers United campaign where the Warehouse Workers United is an organization that seeks to represent the interests of warehouse workers in California’s Inland Empire. The main purpose of the organization is to join all warehouse workers together so as to improve their working conditions and also build a better future for the workers and their families. The Change to Win campaign for the Warehouse Workers United is focused on improving the terms of pay as well as working conditions for all warehouse workers in the Inland Empire. The Change to Win campaign for these workers is meant to build an effective response to the poor assault on worker rights by forming a stronger labour movement that will provide hop e to many minimum wage workers. Change to Win has the ability to affect a response from the various unions in America as it has the voice and the support of stronger affiliate federations such as AFL-CIO in addressing the concerns of workers such as the Warehouse Workers United (Warehouse Workers United, 2011). References AFL-CIO (2011). AFL-CIO Constitution; article XX and XXI. Retrieved from: aflcio.org/aboutus/thisistheaflcio/constitution/art21.cfm CBTU (2011). About CBTU: mission statement. Retrieved from: cbtu.org/mission.html Hill, E.D. (2008). Constructing Bright futures. IBEW Journal, 107(2): 1- 52 IBEW (2005). International Brotherhood of Electrical Workers: History and  Structure. Retrieved from: ibew.org/IBEW/history/Form%20169%20-%20History%20and%20Structure.pdf IBEW Constitution (2008). IBEW Constitution as amended SEP. 2006 at Cleveland,  Ohio. Retrieved from: http://ibewminuteman.com/ibew_constitution/article-2.php IBEW Union (2011). IBEW union dues structure. Ret rieved from: ibew.org/1stdistrict/organizing/ibew_structure.htm Warehouse Workers United (2011). Why we fight. Retrieved from: warehouseworkersunited.org/index.php?id=why-we-fight

Thursday, November 21, 2019

Operation banking Essay Example | Topics and Well Written Essays - 1250 words

Operation banking - Essay Example This led to better methods of measuring and managing liquidity. There are two types of liquidity ratios as explained by Palmaratha (2010, 397).funding liquidity risk and market liquidity risk. Funding liquidity is measured by the ability of the bank to meet the expected and unexpected future and present cash flows, as well as the collateral needs without affecting the daily operation of the firm or company. Market liquidity risk on the other hand is measured by the ability of the company to offset a specific position at the market price due to inadequate market disruptions or market depths. The two risks might inmost cases be dependent on one another in that, while investors demand higher compensation for the increased risks, the need for funding liquidity would certainly rise since the liquidity prevailing in the market would make it difficult to dispose of assets in order to raise the required funds. To manage the liquidity risk as Gugliemo (2008) explained would entail defining an d indentifying how much liquidity is available in the company. This includes the contingency, operational and reserve liquidity. Afterwards the company has to establish the accessibility of the liquidity as well as the relative costs involved. Gugliemo further explained that, determining the needed operational liquidity in the short term as well long term basis would work well in managing the liquidity risk. The determination of the possible changes in the market conditions and the expected changes in the liquidity needs and cash availability are also strategic methods of managing the liquidity risk in the company. The presence of sufficiently early warning systems that would allow a strategic action prior to the actual problem would be of importance in mitigating and managing the liquidity risks. Gugliemo (2008) further explained the importance of process and controls that would ensure successful execution of action plans in managing the liquidity risks. Measurement and effective m anagement of interest rate risks (IRR) calls for the effective identification and quantifying of the risk. There are various tools that have been use to measure the interest rate risk as well as to hedge them to effectively reduce the adverse impacts on the bank balance sheet as Bhole (2009, 317) explained. The instruments mostly used for the measurement of the interest rate risk are the maturity gap, simulation modeling, duration and modified duration as well as value at risk (Bhole, 2009:317). Maturity gap analysis is the simplest technique in analyzing and calculating IRR exposure. The maturity gap is used to measure the dfirection and extent of asset liability deviation. The maturity gap is in most case computed on assets and liabilities having a different maturity period in a specific time frame. Bhole further argued that the gap is an assessment on the pricing gap between the interest gained by banks on the assets and the interest paid on its liabilities over a given time fram e. It has been used as a tool to highlight the net interest income exposure of a bank as a response to the prospective changes in the interest rates in different maturity buckets. A positive gap would indicate an excess of repriced assets over the

Wednesday, November 20, 2019

Individual Presentations Essay Example | Topics and Well Written Essays - 250 words

Individual Presentations - Essay Example Freud makes a comparison between melancholia and mourning to make it easy to understand this concept (Freud, 245). According to Freud, Melancholia is a condition that is closely related to problems with a person’s ego that leads to the onset of the underlying symptoms and indicating signs of the condition. The theoretical framework that Kristeva takes to explain melancholia heavily borrows from the works of Nerval and Dostoevsky. However, the author explains melancholia through symbolism and imagery from an artistic perspective by clearly articulating that melancholia has some aspects of aggressiveness towards the lost object. Through symbolism that is expressed in an artistic ways people suffering from melancholia are able to express their sorrows, suffering in manner that makes them feel like fleeing away from the lost object or the conditions that bring about melancholia (Freud, 245). It should be clear Kristeva also borrows heavily from Freud’s conceptualization of melancholia. Lasky provides a conceptualization and understanding of melancholia through the use of a poetic approach. Lasky uses a poem to make it apparent that melancholia leads to sadness, which eventually makes someone want to escape this condition through suicide and death. It reveals features of melancholy throughout and shows how this melancholia reveals itself in art and how it expresses itself as a desire to destroy oneself through death or suicide. For instance, a person suffering melancholia laments if there are vermin underneath the earth/ who are waiting for him join

Monday, November 18, 2019

Mentorships nursing Essay Example | Topics and Well Written Essays - 1500 words

Mentorships nursing - Essay Example In order to perform the mentorship role effectively and fulfill their obligations, mentors should acquire some traits that are essential to define their role. These attributes consist of: friendliness, good sense of humor, patience, solid interpersonal skills, approachability and professional development abilities (Morton-Cooper& Palmer 2005). Although these characteristics are incorporated in individual’s personality, staff teaching and mental preparation plays a vital role in establishing relationships between tutor and student. In order to critically evaluate these qualities, mentor can facilitate the needs of a student. It is clear that the natures of these attributes are a testament towards cultivating a solid learning environment. Although this relationship is evident; it does beg the question, how does the relationship between mentor and the tutor begin to cultivate? What factors accumulate to solidify this relationship? The second question that poses from this study is—what are the roles and responsibilities of a mentor? In addition, how does one prepare themselves to face these challenges? Lastly, what knowledge is needed to become involved in student supervision? In essence, quality is vital because it promotes education and professional development. Conducive research suggests that the quality and nature of the mentoring relationship is fundamental towards creating a self-reliant and confident relationship. It enhances the quality of the learning sessions experience (Cahill 1996, Andrews and Wallis In the initiation phase, the mentor and the student familiarize themselves with each. They work together through collaboration and observe each other closely. Here, the initiation of harnessing support and having access each other, and is crucial to their development of the relationship. At this phase, commitments can

Friday, November 15, 2019

Poaching Elephants for Ivory

Poaching Elephants for Ivory Poaching of elephants has been present from the past 1000 years. However it increased considerably in the 1970s and consequently the elephant population of the world registered a sharp decline with statistics showing that the number of elephants in Africa declined from 1.3 million in 1980 to just 400,000 in 1990 (Ivory trade threatens future of African Elephants). Sudan and the Central African Republic have also registered a decrease in their elephant population. The crucial factor which results in the poaching of elephants is ivory trade. Therefore to save the dwindling elephant population of the world, cutting the demand for ivory in the world became necessary. The first attempt against ivory trading was made in 1975 with the advent of Convention on International Trade in Endangered Species of Wild Fauna and Flora (CITES), which placed elephants under the list Appendix II species (White gold: The ivory trade ban). These are the species that, though not threatened by extinction, are at risk of being endangered. This did not ban ivory trading and was just a means of regulating it. However it failed to achieve its purpose as the killing of elephants not only continued but increased as the demand for ivory in the international market increased. Thus in 1989 CITES was forced to revise its position in context with elephants. As of 1990 the elephants were removed from Appendix II and rather placed under Appendix I (a species threatened by extinction) by which the killing of elephants was illegalized and a full ban was imposed on ivory trading (White gold: The ivory trade ban). After the ban was put under practice ivory trade was nearly eliminated because publicity surrounding the issue turned public sentiment so far against the ivory trade that it nearly eliminated the demand for ivory worldwide; most poaching stopped abruptly in response. After the imposition of the ban the number of poached elephants in Kenya was reduced to 500 in 1993 from a huge 3500 in the 1980s (White gold: The ivory trade ban). Also because the demand for ivory had decreased, the price of ivory per pound also decreased from $125 to $5 (White gold: The ivory trade ban). This reduction in price made the poachers lose incentive and poaching of elephants diminished. Another act, The Botswana Conservation and Management of Elephants Act of 1991 (The Conservation and Management of Elephants in Botswana) also helps protect the elephant population. By the application of strict rules by the government of Botswana, which includes the setting up of anti-poaching units, poaching is prevented on a large scale within the country. As a result the elephant population of Botswana is not only stable but is experiencing an increase. There are many points in favor of the ban being continued. These arguments are based on the profitability of live elephants to the countries they are in and on animal rights. Elephants provide a lot of benefits both to the countrys economy in which they reside and also to the natural habitat of other wild life. Some countries like Zimbabwe and Kenya thrive on the tourism brought about by the presence of elephants in their lands. Zimbabwe has earned a net total of $424 million and Kenya has earned a net of $100 million on account of the attraction their elephant population created for the tourists (White gold: The ivory trade ban). Thus, as ivory trade involves the hunting and killing of the elephant population of these countries, it has a detrimental effect on the tourism industries without which these already poor countries will lose significant amounts of money and a major contributor to their gross domestic product (GDP). The former chief executive of the Zimbabwe Council for Tour ism, Paul Matamasia, stated in regards with poaching: Without wildlife, we do not have a tourism industry to talk of (Zimbabwes Wildlife Threatened by Poachers). Another benefit of elephants is that they help change woodlands into grasslands, an action which helps provide habitats for the varied wildlife. Thus if the elephant population is reduced due to ivory trade it indirectly has an adverse effect on the habitats of other animals. This was exemplified in the 1970s in the Tsavo National Park in Kenya when a decrease in elephant population led to a decrease in the population of other animals such as zebras (Why Ivory Trade should be banned). The other main argument presented in favor of the ban is that of animal rights. The indiscriminate slaughter of the elephants is necessary in order to acquire ivory as it cannot be obtained while the elephant is alive. After it has been killed the process of extracting ivory involves the poacher to cut into the head of the elephant because roughly 25% of the ivory is contained in the head. This brutal killing of elephants just to take their tusks is a violation of animal rights and of the law as elephants are considered to be an endangered species and according to The Endangered Species Act (ESA) of 1973 ESA prohibits everyone, private person and federal agency alike, from taking endangered wildlife. The regulations extend this to threatened animals. Take includes harming a listed species. Harm: in the definition of take in the Act means an act which actually kills or injures wildlife. Such act may include significant habitat modification or degradation where it actually kills or inj ures wildlife by significantly impacting essential behavioral patterns, including breeding, feeding, or sheltering (The Endangered Species Act). However some argue that the ban is wrong and should not be imposed. There is a debate regarding the endangerment of the elephants with one side claiming that they are not endangered at all. This side argues that rather than being in danger of extinction, the elephant are experiencing a rise in their population. The advocates of this viewpoint cite the examples of Kruger National Park and Botswana. In Kruger National Park the population of elephants increased from 7000 in 1994 to 12000 in 2005. Also in Botswana the elephant population is not only increasing but the authorities registered a threat of overpopulation. The number of elephants increased from 54700 to 60935 (White gold: The ivory trade ban). The ban imposed on ivory trade by CITES requires the elephant population to be below 2000 to qualify. Thus these advocates claim that the ban has been wrongly imposed and should be lifted as the population exceeds that stated by law (White gold: The ivory trade ban).. It must be noted however that this increase in population of the elephants only registered after the ban had been imposed in the first place and can be directly attributed to it because after it was imposed the poaching incidents were reduced to negligible amounts. As far as the problem of overpopulation is concerned it can be justified to still put the elephants under Appendix I of CITES in order to protect the population from falling to such low level that it will become too late to save elephants from extinction; as the old clichà © goes: prevention is better than cure. The primary party opposing the ban is the Southern African Development Community (SADC) which includes 12 countries including Botswana, Tanzania and Namibia. The reason SADCs opposition of the ban is the loss of revenue it had from ivory sales. It argues that due to the ban these countries cant even trade in legitimate ivory which is obtained after the elephant dies a natural death. These countries also claim that the population of elephants in their territories is much greater than the level at which a species is considered endangered. In fact these countries claim that they lack the area and resources to cater for the growing population of the elephants (White gold: The ivory trade ban). This, they claim, poses a threat to their human population as elephants come in conflict with the villagers and are responsible for destroying many crops. Another argument they present is that allocating areas especially for elephants is indirectly very costly as they need that area to grow crops and as agriculture serves as a main form of livelihood it is very difficult. Jon Hutton summates the problem by saying: Crops give survival. Elephants dont (White gold: The ivory trade ban). SADC further says that the ban should be lifted so that these countries can sell up to a collective stockpile of $8 million dollars (White gold: The ivory trade ban) that is collected from elephants that died a natural death. These countries claim that the revenue generated from these trades will be used to conserve the elephant population by building better places for them to live in. In response to the argument that legal ivory and stockpiles should be allowed to be traded and that elephants should rather be placed under Appendix II by CITES, it can be inferred from a similar situation that this is not a good solution. In the past, in response to the appeal by Botswana, CITES placed elephants under Appendix II rather than Appendix I in 1997 which allowed a one off trade of ivory with Japan. However this gave way to increased poaching activity in the area as the demand for ivory tusks was restored which acted as a stimulant for the poachers which led to a considerable decrease in elephant population. A complete ban was soon placed afterwards to stop the poaching as illegal advantage had been taken of a lenient decision. This just helps reinforce the idea that a ban is the only solution to protect the elephant population and if lifted gives rise to illegal trade in ivory which is difficult to tell apart from legitimate trade because while DNA testing has been intro duced it is very costly and it will be very difficult to test each batch of ivory. If we consider the argument of the destruction of existing crops and too little space for practicing agriculture we can see that lifting the ban is not the only solution and neither is the killing of elephants a good option as it might aggravate the situation rather than making it better. Much better and effective answers exist in the form of relocation of elephants. The relocation of elephants from overpopulated areas to areas where they exist in very few numbers is a very feasible solution as it answers both the problem of overpopulation in some countries and dearth of elephants in others and will help reach equilibrium between the two. This idea was used in 2001 when some elephants were transferred from Kruger National Park in South Africa to Mozambique. Will Travers, a member of the Born Free Foundation, said: Translocation as a management option, rather than culling, is going to be increasingly used (Worlds Biggest Elephant Relocation Begins) The argument that the revenue generated will be used to help the elephant population is impractical on two bases. Firstly for most of the countries the amount earned from legal ivory trade is much lower than the amount earned by tourism. Thus harming the elephant population for lesser revenues is not a good option. Secondly most of these countries are developing countries and the amount required to increase the living standards of the elephant population will be too high and cannot be fulfilled alone by revenues generated from trade of ivory tusks which is detrimental to the elephant population in the first place. By carefully considering the arguments presented by both the advocates in favor of the ban and those who are opposed to it and by considering the statistical evidence presented in this essay, it can be firmly concluded that the ban on ivory should remain and is the only barrier standing between live elephants and the extinction of a species. Any other scenario, whether it was a nonexistent ban or a lenient one, has proved damaging to the population of elephants in the world. When a ban had not yet been imposed the numbers of elephants was dwindling at a worrying rate while when a little leverage was allowed to some countries for legitimate trade the consequent rise in demand of ivory and the increase in poaching pushed the elephants one step closer to being wiped of the globe. Also the killing of elephants for ivory is a very atrocious crime as the life of a living being is much more important than the benefits it can provide in death and the conservation of a species is much more es sential than monetary benefits. Thus a full ban is the only answer and the protagonists of the group who think that the ban should be lifted should reconsider their arguments.

Wednesday, November 13, 2019

Sallie Baliunas and the Dangers of Think Tanks :: Global Warming

Sallie Baliunas and the Dangers of Think Tanks Public policy makers increasingly rely on the research of think tank scholars to guide their policy decisions. But who checks the accuracy of think tank scholar research? Unlike academic journal publishing, which follows a rigorous system of peer review and editorial oversight, think tanks publish opinion pieces without regard to the peer review process. Their policy publications are not based on pure academics, but on a complex interaction between academic, political, and economic interests. In Washington, there is no time to focus on the academic details. As Eric Altermann points out in his book What Liberal Media?, think tank scholars â€Å"are expected to spend at least as much time networking with reporters and government staffers as on research.†1 Efficient dissemination of information is as important as the information itself in the think tank business of knowledge. Sallie Baliunas of the Marshall Institute fits Altermann’s think tank scholar profile well. Regarding her involvement in the global warming debate, she has spent less time on the scholarship of global warming and more time advocating the idea that it is simply a myth. She is a senior scientist at the Marshall Institute, which supports her writing of articles against the Kyoto treaty (â€Å"Bush right to oppose [Kyoto] treaty†)2 and the promotion of the idea that global warming is a natural process caused by increased radiation from the sun (â€Å"The Sun Also Warms†).3 Though she has published relatively little in academic journals on the issue, articles such as these are numerous in conservative political forums, such as the website TechCentralStation.com, â€Å"where free markets meet technology.†4 Though she is not considered a global warming expert by professional climate scientists, she is oft quoted by the anti-Kyoto folks as the expert voice that pr oves global warming is a hoax (see any article by Charli Coon of the Heritage Foundation5 or by Chris de Freitas6). Her global warming research has been funded, in part, by corporate oil interests. Think Tanks Baliunas’s association with think tanks does not make her scholarship automatically suspect. However, think tanks dwell in the grey area between scholarship and advocacy, and one must ask in which category Baliunas belongs. Think tanks cannot claim to be completely unbiased, because the majority of their funding comes from corporations, whose interests are not usually only academic, but also economic. Baliunas is an â€Å"Enviro-Sci Host† for TechCentralStation.com, a website sponsored by AT&T, ExxonMobil, General Motors Corporation, Intel, McDonalds, Microsoft, Nasdaq, National Semiconductor, PhRMA, and Qualcomm.

Sunday, November 10, 2019

Metaphors by Sylvia Plath Essay

Sylvia Plath is well known for her confessional style of writing. Her poem ‘Metaphors’ was written in the 1960’s and expresses her self-loathing during pregnancy. Unlike many poets, Plath isn’t afraid to express her inner feelings throughout her work and explore herself within her poetry. In her poem ‘Metaphors’ Plath uses the ‘I’ voice to make her writing deeply personal and convey her pessimistic attitude towards her body image during pregnancy. ‘Metaphors’ is written in a single stanza structure consisting of nine lines each containing nine syllables. Nine is a recurring and significant number in the poem as metaphor and pregnancy both have nine letters and ‘I’ is the ninth letter of the alphabet. It also may be an underlying reference to the nine months of gestation during pregnancy and the impact pregnancy is having on Plath. The poem is written in the form of blank verse without any regular rhyming pattern; however the meter remains consistent with 9 syllables in each line. Plath creates shockingly vivid imagery of her heavily pregnant body and child within; â€Å"An elephant, a ponderous house.† She uses the word â€Å"ponderous† to create an image of her large, lumbering heavily pregnant body and â€Å"house† to show that she is sheltering something precious within. Plath also compares herself to the humorous image of â€Å"a melon on two tendrils.† This makes the reader picture a heavy, round image staggering on two frail, weak legs. The writer’s constant comparison to humorous, ugly objects such as â€Å"a big loaf† and â€Å"a fat purse† highlight the extent of her depression and self-loathing. Although Plath compares herself to a large, unattractive being, she places great value on her unborn child’s life and compares it to many beautiful, valuable objects; â€Å"ivory† â€Å"fine timbers! She uses comparison between the beautiful baby contained within her and her own self-image; â€Å"Money’s new-minted in this fat purse† which clearly represent the ugliness she sees in herself, concealing her precious child within. The writer claims to be;  Ã¢â‚¬Å"a means† where the child will thrive and grow until birth, â€Å"a stage† for her child to develop and grow within and â€Å"a cow in calf† which emphasizes the self-loathing she feels towards the change in her body. In the second last line on the poem, Plath says; â€Å"I’ve eaten a bag of green apples† which could be a reference to the Bible and the apples that tempted Eve in the Garden of Eden and how her over-indulgence followed by painful consequences are a biblical reference to original sin. Plath compares her situation to that of Eve’s, she believes that she too indulged in the sensual pleasure of over-indulgence and is now facing the consequences of her actions. On a more literal level, it may also be that she has over-eaten and feels bloated as this is often common among pregnant women. Plath ponders what the uncertain future holds for her in her last line; â€Å"Boarded the train there’s no getting off.† She implies that the pregnancy is too far advanced to be terminated and she is solely responsible for the new life within her. As the poem progresses, Plath begins to feel helpless towards the last weeks of her pregnancy, facing an uncertain future and she has no control over the outcome. The overall tone of ‘Metaphors’ is a pessimistic one which highlights the extent of the poet’s self-loathing and depression. This may be related to mental health issues the fragile poet suffered from. Plath’s distorted self-image combined with the love she feels for her unborn child and her uncertainty of what the future may hold for her come together to produce a beautiful, highly emotional poem. She successfully incorporates striking yet shocking imagery to engage the reader into her deepest thoughts and feelings and almost sympathise with her situation. Plath leaves us pondering what the future holds for her through her extremely heart-rending, thought provoking poem.

Friday, November 8, 2019

Andrew Beard Invents the Jenny Coupler

Andrew Beard Invents the Jenny Coupler Andrew Jackson Beard lived an extraordinary life for a black American inventor. His invention of the Jenny automatic car coupler revolutionized railroad safety. Unlike the vast majority of inventors who never profit from their patents, he profited from his inventions. Life of Andrew Beard - From Slave to Inventor Andrew Beard was born a slave on a plantation in Woodland, Alabama, in 1849, shortly before slavery ended. He received emancipation at age 15 and he married at age 16. Andrew Beard was a farmer, carpenter, blacksmith, a railroad worker, a businessman and finally an inventor. Plow Patents Bring Success He grew apples as a farmer near Birmingham, Alabama for five years before he built and operated a flour mill  in Hardwick, Alabama. His work in agriculture led to tinkering with improvement for plows. In 1881, he patented his first invention, an improvement to the double plow, and sold the patent rights for $4,000 in 1884. His design allowed for the distance between the plow plates to be adjusted. That amount of money would be the equivalent of almost $100,000 today. His patent is US240642, filed on September 4, 1880, at which time he listed his residence at Easonville, Alabama, and published on April 26, 1881. In 1887, Andrew Beard patented a second plow and sold it for $5,200. This patent was for a design that allowed the pitch of the blades of plows or cultivators to be adjusted. The amount he received would be the equivalent of about $130,000 today. This patent is US347220, filed on May 17, 1886, at which time he listed his residence as Woodlawn, Alabama, and published on August 10, 1996.  Ã‚  Beard invested the money he made from his plow inventions into a profitable real-estate business. Rotary Engine Patents Beard received two patents for rotary steam engine designs. US433847 was filed and granted in 1890. He also received patent US478271 in 1892. There was no information found as to whether these were profitable for him. Beard Invents the Jenny Coupler for Railroad Cars In 1897,  Andrew Beard patented an improvement to railroad car couplers. His improvement came to be called the Jenny Coupler. It was one of many that aimed to improve the knuckle coupler patented by Eli Janney in 1873 (patent US138405). The knuckle coupler did the dangerous job of hooking railroad cars together, which formerly was done by manually placing a pin in a link between the two cars. Beard, himself had lost a leg in a car coupling accident. As an ex-railroad worker, Andrew Beard had the right idea that probably saved countless lives and limbs. Beard received three patents for automatic car couplers. These are US594059 granted November 23, 1897, US624901 granted May 16, 1899, and US807430 granted on May 16, 1904. He lists his residence as Eastlake, Alabama for the first two and Mount Pinson, Alabama for the third. While there were thousands of patents filed at the time for car couplers, Andrew Beard received $50,000 for the patent rights to his Jenny Coupler. This would be just shy of 1.5 million dollars today. Congress enacted the Federal Safety Appliance Act at that time to enforce using automatic couplers. View the complete patent drawings for Beards inventions.  Andrew Jackson Beard was inducted into the National Inventors Hall of Fame in 2006 in recognition of his revolutionary Jenny Coupler. He died in 1921.

Wednesday, November 6, 2019

How to Create Content for Google’s E-A-T Algorithm and Medic Update

How to Create Content for Google’s E-A-T Algorithm and Medic Update You already know that content marketing is a tough nut to crackeven if you’ve got the privilege of working with a team of people with a knack for words. There’s blog posts everywhere you turn in your Google Drive, research papers littering your desk, and website content planned for the next six months. But even after all that prep,  it’s still possible to sink to the bottom of Google’s search results. Just 9% of content  gets some form of organic traffic. And it’s pretty easy to fall into the 91% that doesn’tespecially when over 3 million blog posts  are being published every day. Pretty disheartening, right? It doesn’t have to be that way forever. In fact, you could earn pride of place in Google’s SERPs by focusing on one of their new algorithm features: The E-A-T update. Here’s how you can get in on the action. How to Create Content for Google’s E-A-T Algorithm Update by @elisedopson via @ Where It All Started: The â€Å"Medic† Update On Aug. 1, 2018, Google rolled out a new core algorithm update. That’s not groundbreaking newsthey release some kind of update several times a year, as explained by the internet gods themselves: As with any update, some sites may note drops or gains. There’s nothing wrong with pages that may now perform less well. Instead, it’s that changes to our systems are benefiting pages that were previously under-rewarded.... - Google SearchLiaison (@searchliaison) March 12, 2018 But this one? It was pretty spectacular. And I don’t just mean the sheer size of itthe effects were devastating for some websites. Huge sites like LiveStrong, The Kitchn and Men’s Health lost thousands of organic visitors  overnight: I think a 50%+ drop in organic traffic is significant enough to call this update a pretty big deal. But if you had your spy goggles on while sieving through that data, you might’ve noticed a trend with the sites that took a hit. Data collected by Search Engine Round Table  found 41% of all sites affected by the update were in the healthcare nichehence why you might’ve heard the algorithm named the â€Å"medic update†. That’s not to say site owners who don’t fall into the healthcare category are safe though. In fact, eCommerce, business, technology and finance took a sizeable dent of the disaster share, too: E-A-T Guidelines, Explained If I’ve scared your socks off, I apologize. But the entire point of me talking about this is to show you how you don’t have to slip to the bottom of page 50 at the mercy of the medic update. In fact, you can use one of their revised ranking factors to your advantage with the content you’re creating. Part of the medic update consisted of Google’s guidelines to â€Å"create great content†. Here’s Google’s Public Search Liason, Danny Sullivan, explaining exactly that: We tell lots of things to do. Improve site speed. Consider secure. Etc. But that's not what this update was about. It's broad. And respectfully, I think telling people there's no particular thing to "fix" is indeed helpful. It means, hopefully, they think more broadly... - Danny Sullivan (@dannysullivan) August 1, 2018 Not really helpful, right? Especially if you’re already creating great content. (Which, spoiler alert: You should be.) But an interesting part of that whitepaper was Google’s focus on E-A-T content. Those guidelines refer to how Google measures the quality of a page. It stands for: Expertise: How knowledgeable is the site owner on the subject matter? Authoritativeness: How credible is the website publishing this content? Trustworthiness: How trustworthy is the website publishing this? Google’s aim has always, and will always, be to show the best, highest-quality results for any search term you could think of. Searchers want to see the best content that satisfies our user intent. If that’s to view information, you’ve got no chance of ranking highly if you’re not factoring E-A-T guidelines into your content marketing strategy. Recommended Reading: The Most Massive SEO Copywriting Guide That Will Make Your Traffic Soar How to Create E-A-T Rich Content Ready to make a dent in the SERPs and start creating content that Google (and your audience) love? Here are the four sections you really need to focus on: 1. Optimize Author Bio and â€Å"About† Pages Let’s start by focusing on the â€Å"E† section of this new algorithm update: Expertise. You need to be showing that everyone contributing to your website is an expert on the topic at handwhether that’s B2B content marketing or dog walking. Why? Because going back to Google’s aim, they want to give searchers the highest quality information. Let’s use an example. If you’re searching for information on the best time to post on social media, which of these would you be more satisfied with? A site ran by a budget social media agency. A site ran by a social media expert, who’s also a keynote speaker and has 10,000+ Twitter followers. I’ll bet you pick option is B. That’d be Google’s preference, too, purely because they’re more trustworthy and have more expertise than option A. The easiest way to showcase your expertise is to optimize two key pages on your website: Author Bio Pages You already know that many CMS create pages, such as author bio pages, automatically. I’m not here to teach you how to suck eggs. But you might not realize you’re able to edit these automatically-generated author pages, and build on the expertise section of Google’s E-A-T guidelineswhile maximising your search visibility. Author bios are a great place to start because Google’s quality guidelines  say: â€Å"Websites or pages without any beneficial purpose, including pages that are created with no attempt to help users, or pages that potentially spread hate, cause harm, or misinform or deceive users, should receive the Lowest rating.† So, for each person with an author page on your website, ask yourself: Are they social influencers? Do they run popular blogs? Have they won awards? Have they spoken at industry conferences? Have they worked with/written for prestigious companies? If you can answer â€Å"yes† to either one, share the details in their author bio pageor ask contributing writers to craft their own professional bio  before you publish their content. Here’s a fantastic example on Search Engine Journal: Along with setting herself apart from other contributors, Julia’s bio shows she’s an expert in her industry. She runs an almost 100-person strong team, served thousands of clients, been named as a top 30 content marketer, written a book, hosted a podcast, and published a course. Pretty impressive, right? Since author bio pages that rarely offer any value, your target audience see content that’s published by someone with experience, knowledge and expertise (like Julia) when you’re optimizing them. Show them you’ve got it on offer! Recommended Reading: Your Ultimate Content Marketer's Guide to Keyword Research About Pages Take the â€Å"show your expertise† game a step further by optimizing the ‘about’ page of your website. This isn’t person-specific; it’s a full rundown of your company and lets your audience get to know the people behind the brand. You could answer questions like: What experts are on your team? Have you won (or been nominated for) awards for your work? Why should someone pick your business over a competitor? Just take a peek at this infographic from the About page on Avalaunch Media’s site  for inspiration: 102 years of digital marketing experience is pretty impressiveas is the long list of logos of sites they’ve been featured in, and the number of events their team have spoken at. Fancy putting this infographic-style About page into action for your own site? Remember to add some supporting text. Google isn’t smart enough to understand images (yet), so make sure you’re giving their search engine spiders  text they can read and rank. Recommended Reading: SEO Content Strategy: How to Make Your Traffic Soar by 594% 2. Purge (and Redirect) Poorly-Performing Content If you’re creating content on a consistent basis, you might think you’re acing this whole â€Å"content marketing† thing. Truth is: You’re only acing it if the content you’re pushing is getting resultswhether that’s direct traffic, social shares, or conversions. If your content isn’t getting any of that, it’s hindering you, not helping you. The E-A-T algorithm means site owners need to create a site-wide content plan with high-performing content. How can you an expert in your industry if 90% of your content doesn’t perform well? Enter: Content pruning. A fancy word for removing your old content, and redirecting usersand Google spidersto something better. Jimmy Daly, Content Manager at Animalz, told me how QuickBooks pruned their poorly-performing content  and grew search traffic by 44% year-on-year: â€Å"QuickBooks SEO lead Will Waggoner merged pageview data with conversion data to help him decide which pages to prune. He made sure to ignore new content that hadn't been around long enough to rank or assist in conversions. He generated a list of pages that received less than 100 pageviews in the last six months and had not assisted in any conversions. Then, he made a plan for each URL. Some would be redirected to an article on a similar topic and some would be redirected to the blog home page. Lastly, Will confirmed that the sitemap would update automatically. Once confirmed, he put the redirects in place. Traffic was up 20% in a few weeks. By the time peak season rolled around, QuickBooks' content was getting 44% more traffic than the previous year. Will points out that removing content doesn't guarantee increased traffic. He recommends improving navigation to make content more accessible and refreshing old content first. Each piece of content represents a significant investment of time and money- delete it only when you've exhausted other options.† Fancy following Will’s strategy? Here’s a quick summary of what you need to do to meet Google’s E-A-T algorithm: Identify poorly-performing pages with 100 page views in the past six months or pages that don’t generate conversions. (Use Google Analytics’ conversion paths  for this.) Improve those pages, or delete them. If redirected, redirect the old URL to the next, most-relevant page. For example: If you’ve deleted a page on content marketing tips, redirect it to a related blog post or your services page. Just like QuickBooks, you’ll see the impact in no timetrust me. 3. Take Control Over User-Generated Content (UGC) Opening your site to guest authors is a scalable way to increase your content output. But if you’re not keeping a close eye on the content being published, you’ve got no chance of catering to those E-A-T guidelines we’re working so hard to meet. It ties back into the point I made about deleting poorly performing content: Poor content will reduce your entire site’s credibilitywhether it was published by your marketing team, or not. Think about it: If you’re opening your site to contributors, you might get a ton of new content being published to your site every day. That’s great right? Not necessarily. Not all content is good content. Contributors might be publishing: Spun content Duplicate content Low-quality content Content that’s optimized for another keyword you’re already targeting elsewhere It’s better to have one strong piece of content, rather than five low-quality ones. That way, both Google and your audience are wowed by one pieceand you’re in with the chance of ranking higher naturally.   But opening your site to contributors, and allowing them to publish their own content, could make that harder. Caveat that by: Not giving contributors permission to publish without being reviewed by you, first. Creating a set of writing guidelines that all contributors must  stick to. does the latter. Just take a look at the â€Å"write for us† page: Notice how only the best writers squeeze through their process and end up having their writing published? (Including me 😇) You want to follow the same ethos and never sacrifice quality for quantity. Google wants to push sites with expertise, knowledge and trust to the top of the ranks. Vet your contributors and if they don’t meet the same E-A-T guidelines, don’t publish their stuff. It’s really that simple! 4. Build Strong Editorial Backlinks Ah, the one word that makes SEOs rejoice: Backlinks. Us content marketers already know these little hyperlinks play a huge role in any SEO strategy, but your content needs to act as a link-building machine if you want to benefit from this algorithm update. Why? Because links prove credibilitythat caters to the T part of the E-A-T algorithm: Trustworthiness. Site owners who’re dishing out backlinks want to point their audience in the way of incredible content. If they point to low-quality sites, it’s their reputation at stakeand their own rankings that will drop. That’s not gonna do them any favors. But site owners who run reputable, powerful websites want to send their audience in the way of great content. Not 500 words of spun content or content stuffed with your keyword in every paragraphhence why you need to create strong content, and build even stronger backlinks to get in Google’s good books. Follow Moz’s 10x framework, or Backlinko’s skyscraper technique, to build that content. Go above and beyond with your knowledge, educating your customers much better that anyone else can. Then once you’ve got a kick-ass piece of content that’s 10x better than your competition, do some outreach to spread the word. You could: Send the URL to other blogs you’ve linked-to (external linking is good for SEO) Ask influencers to take part and get them to share with their followers Build your own promotion network and ask those people to share your content with their network. (Slack is great for this!) Each of those tactics raises the number of eyeballs on your content. More eyeballs = more backlink opportunities. But if you fancy taking this a step further, go out of your way to ask  for backlinks. Several techniques exist for this, including: Broken link building: Identify a 404 error on your target website, and create a resource to replace it with. Send your URL as a replacement. Round-up/resource link building: Search popular round-up/resource pages in your industry, and reach out to the editor asking to get involved. Guest posting: Write another piece of supporting content and place it on a popular website, linking back to your original piece. Infographic link building: Create an infographic to support your content, and attempt to get it published on industry sites with a link to your content as credit. When you’re working through this section, remember that not every backlink is a good backlink. Good backlinks are contextual, and from authoritative sites with good SEO metrics. It’s a waste of time targeting sites with low Domain Authority, for example, since those won’t pass much ranking power through to your site. SEO powerhouses like HuffPost and Forbes, on the other hand, will! Ready to Ace Google’s E-A-T Algorithm? If you’re not focusing on creating content that’s written by experts, authoritative and from a trustworthy site, you’ll have a hard time on your journey to page one. But it’s easy to boost your organic search traffic when you’re creating what Google, and your target audience, are cravingjust like Marie Haynes did: YEAH! Got this incredible email today from a client for whom we did a site review and made a bunch of recommendations. Their main terms were on page 2 and 3. And now they're #2 for their most important keyword. Improved E-A-T, internal linking and much more. pic.twitter.com/Z7NeXVRtd8 - Marie Haynes (@Marie_Haynes) July 27, 2018 Quality content + strong backlinks = better SEO rankings. And whether you’re just about to ramp-up content production or have a ton of existing content to update, the new E-A-T guidelines are going to get you there.