Friday, August 21, 2020

Atwood’s Presentation of her Female Characters Essay -- Alias Grace Ma

Atwood’s Presentation of her Female Characters From the get-go in the novel Atwood presents us with the division between women what's more, ladies. The model given is Grace contrasted with the governor’s spouse what's more, the women who every now and again visit her. It appears that effortlessness wishes that she was a woman when she remarks â€Å"I have no gloves† this shows that Grace is aware of her appearance regardless of whether she is in jail. Elegance can't sit on the governor’s wife’s settee without considering the women that have stayed there before her who have bums â€Å"like unbalanced delicate bubbled eggs†. These women are contrasted with jellyfish that effortlessness has found in her youth, Grace shows profound respect for these women ass he says â€Å"they were ringer formed and ruffled† Atwood additionally makes the point through elegance that women of this time were limited. This is accomplished by the referencing of wire crinolines that were â€Å"Like birdcages† the women were not permitted to contact or catch up on against different men’s legs. Elegance is presently discussing legs in sexual manner (moreover another typical issue) â€Å"the governor’s spouse never says legs† this commen...

Wednesday, June 10, 2020

South Florida urban research site (Essay) - 1650 Words

A preliminary analysis of a South Florida urban research site. (Essay Sample) Content: NameInstructorCourseDateA Preliminary Analysis of a South Florida Urban Research SiteSection 1: The SiteThe research site chosen for this study is the Center for Urban Transportation Research at the University of South Florida. The Center for Urban Transportation Research conducts research in growing urban areas in South Florida with a view to developing pragmatic and innovative ways of improving the public transport system that efficiently meets the needs of the citizens.This facility is nationally recognized and has full mandate to carry out its research activities. Being housed inside the University of South Florida gives it a strong academic backdrop which renders credibility to its research projects. The research site can be accessed from the E Flower Avenue through Alumni Drive, past the Research and Innovation Park. One can also access it from the Embassy Suites Tampa.Map showing the location of the Center for Urban Transportation Research, University of South Florida.Section 2: The ContextThe rapid population growth, accompanied with a steady economic growth in the US has led to an increased demand for transport services. South Florida is one of those places in the US that exerts pressure on transport services within and without its boundaries. For this reason, the Center for Urban Transport was set up in order to look into the issue of transport in South Florida.Nevertheless, a number of urban change processes have affected the location of the Center for Urban Transportation Research. There are four such processes. First is very slow change: networks and land use (Wegener, p. 2). This process identifies urban transport, communications and utility networks as the most permanent elements of the physical structure of cities. This is due to the fact that large infrastructure requires a decade or more to plan and put into place, and that they are rarely abandoned. The land use is also stable as changes are only incremental.The Center for Urb an Transportation Research, being housed inside a university complex, is a large-scale infrastructure that took a long time to complete and become operational. It was established in 1988 and has been in operation since then. It has taken more than two decades and has not been abandoned. The land use is incremental, as can be seen in the setting up of another research subsidiary at the site, known as the National Center for Transit Research.The permanent and massive complex housing the Center for Urban Transportation ResearchThe second process is the slow changes in workplaces and housing. This process indicates that although buildings and workplaces may last for very many years (usually more than a hundred) the people who use them do not. Non-residential buildings, like universities, usually outlast the institutions that occupy them, while housing goes far beyond the people that live in them. This applies to the Center for Urban Transportation Research site which is both a building complex and a workplace for scores of people. The building has been in existence for more than two decades and is expected to last for many more years. However, the people who work in the building have a shorter life span compared to the building. The researchers, clerks, secretaries and other staff on the site are not expected to be around for a hundred years. This is a clear indication that the research site is completely in tandem with the urban change processes.A review of the geographical environment surrounding the Center for Urban Transportation Research site reveals a well developed transport and communication network. This is because the distribution of land uses determines the location of human activities in the area. The area around the research site has buildings mainly used for academic purposes. Consequently, human activities here include education, teaching and even shopping. Since there are no residential buildings in this area, people working in this facility have t o stay elsewhere; hence, the need to and from the research institution.According to the Integrated Land Use, Transportation, Environment (ILUTE) urban model, the distribution of human activities in space needs the spatial interactions in order to overcome the problem of distance between the locations of the different activities. Most of the people who in or around the research facility have cars. It is for this reason that there is a large parking lot near the institution. The people have to have cars to solve the problem of distance between their residential areas and their location of workplaces. This implies that the number of vehicles in this place is high, calling for an elaborate road network. It can be observed that there are many roads in South Florida. The ILUTE is, therefore, a comprehensive model that explains the decisions that people and firms take and which influence their travel demands (Salvini Miller, p. 218).A visit to the Center for Urban Transportation Research site reveals several factors. First, the site is clearly integrated into its surroundings. There are numerous roads and pathways leading to surrounding buildings and facilities. This research site, therefore, can be accessed from all directions. The research site is also appropriately located within the University of South Florida. Location at the university means that it can tap into the highly trained and professional human resource that usually forms the backbone of any institution of higher learning. In addition, it can benefit from the input of various actors, such as students studying Geography at the university. Being at the university, this research site may also be able to receive funding from the government. Therefore, the Center for Urban Transportation Research has a vintage location, and, thus, cannot be located anywhere else.The research site reflects the extent to which it relates to the urban models and urban change processes learnt in this course. In this regard, th ere are two urban change processes that have affected this research site. One is the very slow change relating to networks and land use. This is evident in the nature and type of building that houses the research site. It is a permanent building that is expected to last for as long as possible. It took the administrations a long time to plan, design and set up the building. It also cost a lot of money, seeing that the government had to inject some finances into the project in 1999.This research site has also had an impact on the city. Due to the increasing need for people to travel from their areas of residence to the university since there are no residential buildings nearby, there was an increased demand for transport services. Consequently, the transport and communication network in the city has had to be enhanced. This is quite evident in this city, where numerous roads can be seen throughout the entire metropolis.The users of this site include government organizations, students and other persons with express permission. The government uses information from this research site as a framework for its policies on transport and communication in the city. Students use the site for research and academic purposes.The relevance of this site is beyond question. This is because it ties in with the various concepts of urbanizations studied in this course. These include the urban models and the urban c...

Saturday, May 30, 2020

Regulating the internet business - Free Essay Example

Law and Regulatory Requirements Relating to Internet business retailing Introduction We have been asked to advise Alfred with regard to three claims that have been made against his company Alfsoft Ltd, which is a software development and production business, in respect of its business activities. Two of these potential claims arise from the sale of software programs through his Internet website and the third claim relates to a issue regarding the legal usage of the businesses registered domain name. Issues relating to sale of products Alfredà ¢Ã¢â€š ¬Ã¢â€ž ¢s company sells software through his Internet website. This software can either be purchased online and downloaded direct from the site, or ordered online and sent out to the consumer in the form of a DVD to the buyers home address. Brian, who lives outside of the UK, but within the EU, has purchased the software using the download option and Cassy, who resides in the UK, has purchased it using the DVD despatch method. Upon installing the software to their own machines, both Brian and Cassy have experienced virus problems as a result of loading the software onto their computers and are now claiming compensation from Alfredà ¢Ã¢â€š ¬Ã¢â€ž ¢s company for the damage that has arisen as a result of this virus. Brianà ¢Ã¢â€š ¬Ã¢â€ž ¢s claim is for business interruption amounting to  £10,000 and Cassyà ¢Ã¢â€š ¬Ã¢â€ž ¢s is claiming  £100 cost that she incurred in have to take her computer to be repaired. Electronic Commerce Legislation To eval uate Alfredà ¢Ã¢â€š ¬Ã¢â€ž ¢s liability relating to these claims, it is necessary to understand the legislation that covers these issues. The UK has implemented the EU directive 2000/31/EC of the European Parliament by the enactment of the Electronic Commerce (EC Directive) Regulations (2002). The provisions of this act relate specifically to the performance of e-commerce and the conditions under which this should be conducted, together with the protection that is afforded to the consumer. Although this act assumes that the laws of the UK relate to a UK based e-commerce business in certain areas, it does not preclude a person from another member state from taking action according to the laws of their own state. However, in this case the person would have to request those who have jurisdiction to encourage the UK legal authorities to take action on their behalf (Office of Fair Trading 2007). In addition to this legislation, Alfredà ¢Ã¢â€š ¬Ã¢â€ž ¢s business activities would also be conducted under the Consumer Protection (Distance Selling) Regulations 2000 (see Electronic Commerce (EC Directive) regulation 10), and the law of contract and the common law duties of negligence (Rustad and Daftary 2003, p.437). The first point in the two cases in question relates to the disclaimer. Firstly, disclaimers have to be conspicuous and without any à ¢Ã¢â€š ¬Ã…“express or implied warrantiesà ¢Ã¢â€š ¬Ã‚  and should be placed in a position that they need to be read and agreed to before a consumer commences to view or download information (Rustad and Daftary 2003, p.163). Secondly, it needs to make it clear that the web-site owner utilises the site and facilities at their own risk (Rustad and Daftary 2003, p.556). Thirdly, the site does not necessarily need to explain the facility of downloading or printing information (Campbell and Woodley 2003, p.54), although most sites will contain this information. Regulation 6 and 7 of the Act (2002) covers this point. H owever, the e-commerce business has certain responsibilities in respect of security. This relates to a number of factors. For example, there is the security of information that is collected from the consumer, which needs to be protected by the selling business. In addition, and more relevant to the case being reviewed, is the security issue relating to the protection of the information that the site contains and threats that may occur, for which the relevant security apparatus should be in place, which should also be updated as required to ensure that the business is secure at all times (Rustad and Daftary 2003, p.142 and p.177). Website security needs to be maintained at the highest level available at all times. All e-commerce business has a duty to protect its consumers and a company that outdated security, or security which is inadequate for the task required, such as the downloading of software could find themselves guilty of negligence and have a liability for any damage that m ay result from the activity of a à ¢Ã¢â€š ¬Ã…“hackerà ¢Ã¢â€š ¬Ã‚  or from any virus that is transmitted with the download (Rustad and Daftary 2003, p.437 and p.505; and Spindler 2002, p.88). For example, in the case of Pegler Ltd v Wang (UK) Ltd[1] where a computer failed, the defendants would found to be liable for damages in respect of that failure and damages were assessed, although no formal records had been kept, in respect of the interruption to the plaintiffs business. Once an incidence of negligence has occurred the consumer can claim against the business and does not have to identify a particular person for responsibility for that negligence (Carroll and Others v Fearon and Others) One of the crucial aspects for the grounds for successful negligence is there sufficient evidence to enable an action. For example, should the defendant have been aware of the potential for the damage to be caused and did they take reasonable precautions to avoid this. In the case of S wain v Puri[2] it was held that such knowledge should have been available, and that the turning of a blind eye to it was no defence. The events that took place between Alfred and the two consumers identified within this case would also fall within the Sale and Supply of Goods Act (1994). This act provides the consumer with certain rights that would not normally be available to them under the normal rules of contract law, and is intended to provide for a more rapid solution to issues that arrive. The act outlines the duties and responsibilities for both parties. One of the key aspects of this act is the implied terms and conditions and of these it is the implied conditions that are the most important. Of particular relevance to the case being studied is section 14(2), which states that the goods must conform to: (a)fitness for all the purposes for which goods of the kind in question are commonly supplied, (b)appearance and finish, (c)freedom from minor defects, (d)saf ety, and (e)durability. This means that the goods must not only fit for the purpose for which they were intended, but must also be safe and free from any defects. In the case of Rogers and Another v Parish (Scarborough) Ltd and Another 1987 it was held that the goods sold, because of its defects, whilst usable were not of a satisfactory quality under the terms of the act. In section 53(a) this act also provides for the consumer to be able to claim damages that can be justifiably have arisen as a result of that breach. These implied conditions do not necessarily have to be written into the terms as they are reliant upon what the courts would determine as à ¢Ã¢â€š ¬Ã…“what a reasonable person would expectà ¢Ã¢â€š ¬Ã‚  from the performance of the act of buying the goods. Breach of Duty of care In addition, under common law, both parties who enter into a contract owe a duty of care to the other. In the case of the Sale and Supply of Goods Act (1994), this means that the seller would owe a duty of care to the buyer and visa-versa. If one party claims there is a breach of that duty, for example the buyer, they have to prove such a breach has taken place, using a number of criteria. The first of these is à ¢Ã¢â€š ¬Ã…“proximity.à ¢Ã¢â€š ¬Ã‚  It has to be proven that the person who committed the breach is required to have reasonably thought about the consequences that an act of breach would cause, and how it would affect those who suffered from it. In particular, that person has to consider the fact that those who would be most directly and immediately affected by any breach were due a duty of care. In other words, a duty of care was owed to the person who was immediately affected by the damage. The basis for this rule was laid out in the legal case of Donoghue v Stevenson (1932) AC 562, by Lord Atkin (Hodgson and Lewthwaite, 2004, p.118). Foreseeability is another criterion upon which breach of duty of care is judged. In other words could t he breach and the damage seen have perceived to be likely to occur? In determining this issue, the courts will again evaluate the level of foreseeing the possibility on the grounds of what would have been reasonably expected. However, what is excluded when approaching this area, as was found in the case of Roe v Minister of Health (1954) 2 AER 131 (Hodgson and Lewthwaite, 2004, p.82), was any action where the determination of forseeability can only be confirmed by the benefit of hindsight. Safety and security also impacts upon duty of care. In this respect one has to consider the practicality of assessing the risk and measuring that against the precautions that have or should have been taken to reduce the risk as far as possible. The case of Daniel Wilson v Governor of Sacred Heart Roman Catholic Primary School (1997) EWCA Civ 2644[3] refers to this issue. Although this case deals with a physical personal risk, the same rules apply to risks from damaged goods. To enable succes s for a claim under the breach of duty of care rules, the person making the claim has to have suffered an actual damage. It is highly unlikely that the claim will be found in their favour if there is no actual damage. Conclusion In the case of Brian and Cassy, a contract for the purchase of the software goods from Alfredà ¢Ã¢â€š ¬Ã¢â€ž ¢s company would have been formed at the moment that they both indicated, by pressing the à ¢Ã¢â€š ¬Ã…“I acceptà ¢Ã¢â€š ¬Ã‚  option on the terms and conditions, and making their payments, that they wished to purchase the product at the agreed price and, in the case of Brian, commencing the download to his own system, and with Cassy, the acceptance of the DVD and transferring the information to her computer (Spindler 2002, p.319). From that instance, these contracts would have been subject to the various legislations and regulations that have been outlined in previous sections. The conclusion is that there are several issues to be addressed. Firstly, from the information relating to the case it is apparent that the software was vulnerable to the particular virus that infected the consumerà ¢Ã¢â€š ¬Ã¢â€ž ¢s computers. Therefore, under the sale and supply of goods Act (1994) there is the potential for a valid claim from both parties. The key issue here is whether Alfredà ¢Ã¢â€š ¬Ã¢â€ž ¢s company should have foreseen this virus infection. It would be our contention that due to the fact that both of these transactions were originally undertaken online, which is renowned for the incidences of viruses, it is reasonable to suggest that such an infection was always a possibility. However, the question of the level and appropriateness of the website security arises. If it was out of date or not sufficient for the task, then the potential for the claim is strengthened. (Rustad and Daftary 2003, p.437 and p.505; and Spindler 2002, p.88). If the website was operating an adequate security system, which was regularly updated, then in may have been reasonable to assume that the software was protected. Furthermore, despite the fact that the terms and conditions that Brian and Cassy accepted contained a disclaimer, there are implied terms that would be inc umbent upon the business. For example, it would have been reasonable for the buyers to rely upon the belief that the software would have been free from all known viruses. In the case of Cassy, who received her software package through the post on a DVD, it is concluded that this consumer has a valid claim, which she could pursue through the UK courts. The reasoning for this is that, with the constant threat of virus infection surrounding software, she could have reasonably expected that the DVD and its contents would have been screened for viruses prior to being dispatched. The fact that it was still infected when it was transferred to her computer suggests that insufficient care was taken by Alfredà ¢Ã¢â€š ¬Ã¢â€ž ¢s company in minimising the potential threat from this source being transmitted to Cassyà ¢Ã¢â€š ¬Ã¢â€ž ¢s machine. In conclusion, particularly in terms of low the amount of the claim, it would be advisable to settle this case. With regard to Brian, the two signif icant differences are that he downloaded the software direct from the Internet and that he resides in a member state of the EU outside of the UK. In the first part of this, one has to consider whether Brian himself had a duty to endeavour to reduce the risk of damage. As with Alfred, it could be argued that Brian would have been aware of the potential threat from viruses that occur on the Internet and, particularly, that these threats often materialise through the transmission of data from one machine to another. Therefore, it would have been reasonable to assume that there would have been a level of protection from threat on Brianà ¢Ã¢â€š ¬Ã¢â€ž ¢s own computer that would have been capable to detecting the infection on the software, which would have rejected the download. In this case it is advised that liability, although it still exists for Alfred, may be reduced as a result of Brianà ¢Ã¢â€š ¬Ã¢â€ž ¢s own lack of security. Use of domain name Alfred has incorporated his business under the name of Alfsoft Ltd., and also registered the name à ¢Ã¢â€š ¬Ã…“Alfsoftà ¢Ã¢â€š ¬Ã‚  as a UK trademark for computer software. In addition, the domain name alfsoft.com has also been registered. All of these actions were undertaken in 2006. However, an international US competitor, Alpha-software LLC, had previously registered the trademark Alphasoft and the domain name alphasoft.com in 2001. This company is demanding that Alfsoft Ltd transfer the domain name of alfsoft.com to them on the grounds that it so similar to their own that it could be confused. They are threatening legal action as provided for by UDRP[4] policy introduced in 1999 by ICANN[5] unless Alfred accedes to their request. A domain name is an extension of a businesses promotional activity, particular in respect of e-commerce Rustad and Daftary (2003, p.82) and website use. In addition to enabling the business to promote to customers within their own national terr itory, for example within the UK by registering a domain name with the extension, .co.uk, a business can seek international marketing expansion by registering a domain name with the extension .com. All domain names are registered with an Internet provider, who charges a fee for maintaining the domain name on the Internet. As part of the registration, acceptances of the UDRG policy are now automatically incorporated within the agreement. Historically, there have long been problems with domain names. The majority of this arose from the fact that Internet users would, as Carl and Joynson (2002) explain: Register domain names for famous brands, such as MacDonalds.com and then charge the land-based trademark holder a significant amount to buy it from them. This is known as Cybersquatting. Register a name that is so alike to a well-known brand as provide unfair advantage to the person holding the similar brand (known as passing off), or that could lead to confusion for those searching the Internet. Register an abusive name, which was normally performed in cases where a person or persons had reason, real or imagined, to want to attack the brand holder. In was in an effort to address these issues that the ICANN was formed and the UDRP (1999) policy was were introduced. This policy provide for the resolution of disputes that arise in respect of domain names and set down prescribed methods of approach to be used in such instances (Campbell and Woodley 2003, p.128). Under the terms of these policies a certain number of à ¢Ã¢â€š ¬Ã…“dispute resolution providersà ¢Ã¢â€š ¬Ã‚  who have been approved by ICANN will deal with the dispute. As can be seen from table 1 below, as of 2002 there were four such providers, the World Intellectual Protection Organisation, National Arbitration Forum, eResolution and CPR Institute for Dispute Resolution, although others, including the Asian Domain Name Dispute Resolution Centre, which has three offices, have since joined this list. The first proceeding under this policy commenced in December 1999 and, as can be seen from the list of providers, in the two years following that date there were over f our thousand cases lodged, which are spread across the various dispute resolution providers. Table 1 Dispute resolution providers Source: https://www.udrpinfo.com/dcsn.php#data The most important section of the UDRG policy, and the one that is relevant to the case in question, is number four[6]. This outlines the incidences, which may lead to a dispute and potential claim as follows: à ¢Ã¢â€š ¬Ã…“4 (a) Applicable Disputes (i) your domain name is identical or confusingly similar to a trademark or service mark in which the complainant has rights; and (ii) you have no rights or legitimate interests in respect of the domain name; and (iii) your domain name has been registered and is being used in bad faith.à ¢Ã¢â€š ¬Ã‚  Section 4 (b) further clarifies the term à ¢Ã¢â€š ¬Ã…“bad faithà ¢Ã¢â€š ¬Ã‚  and it is part (iv) of this section that Alpha-Software LLC is relying upon as evidence to support their threatened claim against Alfred and his company, w hich makes the following statement: (iv) à ¢Ã¢â€š ¬Ã…“by using the domain name, you have intentionally attempted to attract, for commercial gain, Internet users to your web site or other on-line location, by creating a likelihood of confusion with the complainants mark as to the source, sponsorship, affiliation, or endorsement of your web site or location or of a product or service on your web site or location.à ¢Ã¢â€š ¬Ã‚  To ascertain the validity of Alpha-softwareà ¢Ã¢â€š ¬Ã¢â€ž ¢s claim, the two key elements are a) whether the registration was intentional and b) whether confusion is likely to arise. To assist in this deliberation four decisions of cases conducted through the dispute resolution providers have been studied. Facetime à ¢Ã¢â€š ¬Ã¢â‚¬Å" Case No: NAF FA0092048[7] In this case both the complainant and the respondent were in the business of website software solutions. The complainant, Facetime Communications Inc., registered their domain name in1999 and were awaiting a US trademark decision on their application for facetime.com. The respondent, Live Persons Inc registered facetime.com in January 2000, with the purpose of selling it on. The finding was that the respondent must transfer the domain to the complainant, as their use contravened all three aspects of UDRG section 4 (b). Easyjet Ltd à ¢Ã¢â€š ¬Ã¢â‚¬Å" Case No: D 2000-0024[8] In this case easyjet already owned the domain easyjet.com. However they complained that the respondentà ¢Ã¢â€š ¬Ã¢â€ž ¢s registration of easyjet.net was identical and should be transferred. Their complaint was upheld, which set a precedent that the dot extension was irrelevant when deciding a case. Camco Inc v Pawnbrokers super-store à ¢Ã¢â€š ¬Ã¢â‚¬Å" Case number[9] In this case the complainant had registered Asuperpawn [emailprotected] The respondent had registered superpawn.com. The complainant claimed the similarity was confusing and requested transfer. However the claim was denied. The grounds for this denial was that a) the complainant had failed to evidence that the respondent was using the name in bad faith, b) there was no evidence to support direct competition, and c) there was no evidence to attract users by confusion. Venus Swimwear Inc v The GBC à ¢Ã¢â€š ¬Ã¢â‚¬Å" Case Number NAF FA0094234[10] The complainant had registered the trademark Venus Swimwear and the two domains venusswimwear.com and venusswimwear.org. The respondent registered the domain venusswimwear.net. It was claimed that the respondent registered the name to sell later at a profit or to dilute the name of Venus Swimwear. However, the respondent successfully argued that they were using the domain for a specific trading purpose. The claim was denied as the complaint had not proved all aspects of UDRG clause 4 (b), particularly parts (ii) and (iii). Two points can be specifically identified from these cases. The first is that the pre-existence of a trademark does not necessarily mean that a transfer would be granted. The second is that, in order to succeed, a claim must evidence that the respondentsà ¢Ã¢â€š ¬Ã¢â€ž ¢ default relates to all clauses in UDRG 4 (b). However, a point of caution should be noted. Of the cases identified in table 1, the majority have been found in favour of the complainant. Co nclusion In respect of the complaint threatened against Alfsoft Ltd by Alpha-Software LLC, from the evidence that has been reviewed the registration undertaken by Alfred appears to have been taken for the purpose of conducting sales of his companyà ¢Ã¢â€š ¬Ã¢â€ž ¢s software. Whilst there may be a similarity in the pronunciation of the name, it is our conclusion that there is insufficient evidence to support a claim that Alfredà ¢Ã¢â€š ¬Ã¢â€ž ¢s company had no legitimate interest in using the name, nor that there was any intention to use it in bad faith. Therefore, it is suggested that the likelihood is than any such claim by the complainant would fail. Bibliography Adams, Alix (2006). Law for Business Students. Pearson Education. UK. 4th Edition Hodgson, John and Lewthwaite (2004) Tort Law Textbook. Oxford University Press, UK. Rev Edition. Marsh, S.B and Soulsby, J. (2002). Business Law. Nelson Thornes Ltd, UK. 8th Edition. McKendrick, (2005) Contract Law: Text, Cases, and Materials. Oxford University Press, UK Uniform Domain Name Dispute Resolution Policy (1999). ICANN. Retrieved 23 April 2007 from  https://archive.icann.org/en/udrp/udrp-policy-24oct99.htm WIPO Arbitration and Mediation Centre (2004). Collection of WIPO UDRP Domain Name Panel Decisions. Kluwer Law International. The Hague, Netherlands. Rustad. Michael L and Daftary, Cyrus (2003). E-Business Legal Handbook. Aspen Law and Business. New York, US. Spindler, Gerals and Borner, Fritiof (). E-commerce Law in Europe and the USA. Springer-Verlag. Berlin, Germany. Campbell, Dennis and Woodley, Susan (eds.) (2003). E-commerce: Law and Jurisdiction. Kluwer Law International. The Haque, Netherlands. Carl, Tom and Joynson, Taylor (2002). United Kindom: Trade Mark Owners: 19 Cybersquatters: 1. Managing Intellectual Property. Retrieved 23 April 2007 from https://www.managingip.com/?Page=10PUBID=34ISS=12550SID=471754TYPE=20 The Electronic Commerce (EC Directive) Reg ulations (2002). Retrieved 22 April 2007 from  https://www.legislation.gov.uk/uksi/2002/2013/contents/made Office of Fair Trading (2007). E-commerce regulations à ¢Ã¢â€š ¬Ã¢â‚¬Å" What do they do. Retrieved 22 April 2007 from https://www.crw.gov.uk/Other+legislation/E-Commerce/E-Commerce+Regulations+-+what+do+they+do.htm Sale of Goods Act (1994). Retrieved 22 April 2007 from https://www.opsi.gov.uk/acts/acts1994/Ukpga_19940035_en_1.htm 1 Footnotes [1] Pegler Ltd v Wang (UK) Ltd [2000] EWHC Technology 137; 1997 TCC No. 219 [2] Swain v Puri [1996] PIQR 442 [3] Retrieved 22 December 2006 from https://www.bailii.org/cgi-bin/markup.cgi?doc=/ew/cases/EWCA/Civ/1997/2644.htmlquery=Sacred+Heartmethod=all [4] Uniform Domain Name Dispute Resolution Policy [5] Internet Corporation for Assigned Names and Numbers [6] Mandatory Administrative Proceedings. [7] https://www.arbforum.com/domains/decisions/92048.htm [8] https://www.wipo.int/amc/en/domains/decisions/html/2000/d2000-0024.html [9] https://www.arbforum.com/domains/decisions/94189.htm [10] https://www.arbforum.com/domains/decisions/94234.htm

Sunday, May 17, 2020

Macbeth Final Draft - 1550 Words

â€Å"Ambition is like love, impatient both of delays and rivals.† – Buddha. Buddha was a wise man and knew that someone who is ambitious can get very impatient when it comes to delaying their plan and having rivals that share the same goals. Ambition is often the result of one good thing happening which leads to one pursuing their dreams more and more. Although ambition can be a good thing, it can also be bad. Twisting people s judgment on reality and making them perform actions they wouldn t normally do. Such is the case in Macbeth where ambition causes Macbeth to go through with a murderous plot to become king that involves his wife plotting the murder and going insane. In the play Macbeth, Shakespeare expresses the theme of ambition by†¦show more content†¦... Nought s had, all s spent, where our desire is not without content: tis safer to be that which we destroy, than by destruction dwell in doubtful joy. (3.2.4). When she has become Queen through the m urder of Duncan, she portrays for a moment something like disappointment, something like disillusionment. Her mind begins to become warped and distorts her ambition, driving her insane in the process. The Weird Sisters assured Macbeth that he himself should be king, but to Banquo they promised that his children should succeed to the crown. Macbeth is incensed by this decree of destiny. He is not content with the satisfaction of his own ambition. He wants to found a dynasty -- not to have murdered for the benefit of strangers. (Freud). This act alone of the witches will ensure a conflict between Macbeth and Banquo. Macbeth not wanting Banquo s children to have the throne, believing they did not earn it. This lead to Macbeth hiring men to kill Banquo. Thus ensuring that Macbeth and his family will rule Scotland, or so he thought. Conflict is a main theme of any story and Macbeth is no different. Yet, some conflict can be lead to by even the slightest foreshadowing. Shakespeare uses fo reshadowing to assist him portray the theme of ambition. All hail, Macbeth, thou shalt be king ... hereafter! [†¦] Thou shalt get kings, though thou be none: so all hail, Macbeth and Banquo! (1.3.6). This is quite obvious foreshadowing as the witches predict what will happenShow MoreRelatedWilliam Shakespeare s Macbeth 997 Words   |  4 PagesMacbeth Essay Final Draft The catalyst that initiated World War 1 is the murdering of the Austrian Archduke Franz Ferdinad in June 28, 1914. In Macbeth by William Shakespeare, the witches are the main catalyst to all of Macbeth’s crimes. From the very beginning, the witches tells us that Macbeth is very critical to their evil scheme â€Å"There to meet with Macbeth†(1,1,5). It is from this instant that the witches make a everlasting connection between themselves and Macbeth â€Å"A drum, a drum, MacbethRead MoreUsing Gmail With Screen Readers904 Words   |  4 PagesInbox (1) Starred Important Sent Mail Drafts (6) Circles Personal Travel More Chat haider janjua A Mason bronzemek@hotmail.com Elle Stewart hsutcliffe Hutheifa Hussein Karina @ Kam Models Talent Kim Tian noreply pcalver Simone Connell More 1 of 29 Why this ad? SCTI.co.nz - Win with travel insurance - You could win $20,000 if you buy TravelCare online from Southern Cross Travel Insurance in 2014. Print all In new window Macbeth rebuild final Inbox x haider janjua haider.i.janjua@gmailRead MoreDoubtsUncertainties in Macbeth and Much Ado About Nothing1903 Words   |  8 PagesCA Draft Love, hate, fair and foul are tightly entwined around the core of drama. Although they are extreme opposite, they blur together to create the perfect partnership, which allows characters to appear different to their internal feelings. Whether it’s through the ‘barbed banter’ of ‘Much Ado About Nothing’ or the ‘saucy doubts and fears’ of Macbeth, Shakespeare presents scenarios where central characters place their credence where they should have agnosticism and their doubts where they shouldRead MorePyramus And Thisbe Vs. Romeo And Juliet1220 Words   |  5 PagesKevin Lord Josue Prof. Elizabeth Fogle CAMS 045 Final Paper/Final Draft August 15, 2014 Pyramus Thisbe vs. Romeo Juliet Tragic love stories have always been appealing to the literary world. This would be seen in Ovid s Pyramus and Thisbe and William Shakespeare s Romeo and Juliet. Ovid, one of Rome’s greatest poets, was famous for The Metamorphoses. His love stories were deeply emotional, yet very tragic. The story of Pyramus and Thisbe is the most emotional story in The MetamorphosesRead MoreHow to Write a Research Paper11497 Words   |  46 Pagesthen be eliminated. On the other hand, your reading will suggest new points that you may want to include as part of your outline. Your preliminary outline will be revised as you take notes, after you complete your research, and before you turn in the final version of your paper. Outline Guidelines Information has been borrowed from Sharon Sorenson s text Introduction To Research and James D. Lester, Sr. and James D. Lester, Jr. s text The Research Paper Handbook. Formal outlines requireRead MoreOrson Wells3937 Words   |  16 Pagesbrought Welles to the notice of John Houseman, who was casting for an unusual lead actor for the lead role in the Federal Theatre Project (â€Å"Orson† 2). In 1936 Welles was hired by Houseman to direct Macbeth for the Federal Theatre Project’s Negro Theatre Unit. The production later became known as Voodoo Macbeth because Welles set it in the Haitian court of King Henri Christophe and voodoo witch doctors played the three Weird Sisters. The play later toured the nation and Welles even flew to the locationRead MoreResearch Writing Across the Discipline5750 Words   |  23 Pagesproceed sequentially in accordance with your tentantive outline. It may be helfpful to include an additional means of indicating specific subcategories discussed by different authors. For example, you may choose to highlight all discussion of Lady Macbeth in a specific color; as a result, your notes will be organized both by author and specific subcategories. Some research may prove irrelevant to your topic and should therefore be excluded. If you find yourself strugging with specific notions setRead MoreDiscursive essay2703 Words   |  11 Pagesonline shopping affect our lives nowadays. 2 Write a second sentence supporting the first one, or describing the result of it. 3 Ask a question that you intend to answer in the essay. c Compare your introduction with a partner. Together, make a final version. TIPS for writing a discursive essay where you put both sides of an argument †¢ Brainstorm points for and against and decide which two or three you think are the most important. †¢ Use a neutral or formal style. †¢ Write a clear introductionRead MoreHumanities Test4641 Words   |  19 Pagesopening sentence survives of : Aristotles essay on comedy pg 236 12.   ( T or F ) Satire is always serious. It criticizes ideas and behaviors that are dangerous to society. False 13.   Shakespeares five great tragedies include: Hamlet, Othello, Macbeth, and: Romeo and Juliet. 14.   The plays of Chekhov feature: Naturalism pg 247-249 15.   Which of the following conventions is seldom found in Elizabethan theaters: Soliloquy or Elizabeth’s Sonnet 16. Know the plot summary of Oedipus Rex. Antigone:Read MoreMarket Reaction to the Adoption of Ifrs in Europe16957 Words   |  68 Pagesregarding technical accounting matters. After the IASB issues a standard, EFRAG reviews it and, after public consultation, EFRAG decides whether to recommend that the EC endorse the standard for use in Europe. Taking EFRAG’s advice into account, the EC drafts proposed regulation. The EC then seeks input from the Accounting Regulatory Committee (ARC). The ARC, a governmental organization comprised of representatives from each EU member state, reviews the regulation and provides its recommendation about

Saturday, May 16, 2020

Competing To Be the Highest (Skyscraper) in New York

Getting high in New York is nothing new. Neither is the race to the top, to become the biggest and brightest star or the highest skyscraper. On foot, approaching what may forever be known as Ground Zero, the pedestrian is struck by the gleaming, triangulated 1WTC amidst the neighboring boxes of International Style skyscrapers, older, stone Beaux Arts structures, and historic Gothic buildings like the Woolworth Building. In November 2014 lower Manhattan moved on—getting back in business as Condà © Nast publishers took occupancy of a good chunk of One World Trade Center. Like many of the skyscrapers in New York City, you cant see up to the very top of 1WTC when youre standing at the very bottom. Only with distance can you really see a skyscraper. In 2013, with the 18th section of its spire in place, 1WTC became the tallest structure in New York. At 1,776 feet, the David Childs-design was the third tallest skyscraper in the world when it opened in 2014. The Durst Organization and Tower 1 Joint Venture LLC at onewtc.com, in charge of managing the building and leasing the office space, is promoting the venue as the tallest building in the Western Hemisphere. The steel broadcasting tower sits atop the 104-story office building built on the site of the 2001 terrorist attacks. When the World Trade Center Twin Towers were destroyed on 9/11/01, the Empire State Building became New Yorks tallest building, as it had been when it opened on May 1, 1931. No longer. Before that, the Chrysler Building was the tallest. Weeks before the Chrysler Building topped out, the Trump Building at 40 Wall Street was the highest in the land. New York City has always been a competitive place. NYC Skyscrapers Competing To Be the Highest NYC Building Year Height in Feet 1WTC 2014 1,776 Central Park Tower 2019 1,775 111 West 57th Street 2018 1,438 One Vanderbilt Place 2021 1,401 432 Park Avenue 2015 1,396 2WTC 2021 1,340 30 Hudson Yards 2019 1,268 Empire State Building 1931 1,250 Bank of America 2009 1,200 3WTC 2018 1,079 9 DeKalb Avenue 2020 1,066 53W53 (MoMA Tower; Tower Verre) 2018 1,050 Chrysler Building 1930 1,047 New York Times Building 2007 1,046 One57 2014 1,004 4WTC 2013 977 70 Pine Street (AIG) 1932 952 40 Wall Street 1930 927 30 Park Place 2016 926 World Trade Center Buildings Lower Manhattan has risen from the ashes.  The new World Trade Center buildings combine to create a startling skyline. Instead of the monolithic Twin Tower rectangles that once stood on Ground Zero, the site is a whirlwind of angular shapes and surprising contrasts of metals, glass, and stone. The first Tower completed, 7WTC in 2006, got the ball rolling at 741 feet. Daniel Libeskinds 2002 Master Plan vision of a descending spiral of building heights has been honored by all of the WTC architects. The minimalist 4WTC by Japanese Pritzker Laureate Fumihiko Maki is no exception. Given the irregular shape, states Gary Kamemoto, Director at Maki and Associates, we were experimenting with triangulating the building form and make it look very light. Besides its beauty and functionality, the 977-foot Tower 4 is being advertised as exceeding NYC Building Codes. The magnificent, triangular 1WTC designed by David Childs and Skidmore, Owings Merrill (SOM) is symbolic (its height is 1776 feet), historic, designed to achieve LEED Gold, and arguably the most secure skyscraper in all of Manhattan. The spire of 1WTC doesnt quite look like the architects initial rendering, but when the top beacon is lit, New Yorks tallest building becomes visible for 50 miles in every direction. Lets hope the guiding light attracts more and more tenants to this new urban space. Architecture needs people. Sources WTC video, 4 WTC Architect Fumihiko Maki, at www.wtc.com/media/videos/4%20WTC%20Architect%20%20Fumihiko%20Maki [accessed November 2, 2014]Additional photos by jayk7/Moment Collection/Getty Images

Wednesday, May 6, 2020

Essay about Death of A Salesman as a Modern Tragedy

Death of A Salesman as a Modern Tragedy It has been stated that the audience needs to have mixed feelings about the destruction of a human being for a play to be a tragedy. To establish Death of A Salesman as a tragedy, we must demonstrate that not only does the audience feel sadness due to Willy’s demise, but also they feel that justice has been exacted on Willy for his behavior. As this is the case I will first examine the reasons why the audience feels sadness for Willy, and then go on to see why it is that the audience also feels that Willy deserves the punishment which fate hands him. It is obvious throughout Death of A Salesman that Willy Loman’s life is bad, and that it is getting worse, despite Willy’s†¦show more content†¦Willy’s problems at work, however, are not his only problems, and they are not even the most serious ones he has. Another of the major problems which Willy has is his relationship with his sons, and in particular Biff. Neither of Willy’s children seem to measure up to his expectations. Willy expected his children to ‘make it big’ in the city, and whilst Happy works in the city and is doing more to gain his father’s approval than Biff , even he is not very successful, working as an assistant to the assistant of a ‘buyer’. Biff is even more of a disappointment to his father than his brother, holding a variety of temporary jobs on the great plains as a manual laborer, and also getting into trouble with the police for stealing a suit (the audience is lead to believ e that Biff’s stealing is not an isolated incident). Willy believes that Biff could have made more of himself, a fact which he doesn’t hide from Biff himself, and this seems to be the main cause of the tension between the two of them (though, as I will discuss later, the real reason actually lies in the past). Despite the seriousness of the two aforementioned problems, Willy’s most serious problem is in my opinion the problem he has with being stuck in the past. HeShow MoreRelatedDeath of a Salesman as a Modern Tragedy2704 Words   |  11 Pages  Death of a Salesman as a modern tragedy Death of a Salesman as a modern tragedy   Death of a Salesman  is typically classified as a modern tragedy. This implies that it follows the example of the classic Greek tragedies, Roman tragedies and Shakespearian and Jacobean tragedy. There are, however, subtle but vital differences between these forms. Aristotle’s classic view of tragedy saw the form as one which only properly deals with the fate of gods, kings and heroes. In the twentieth century, suchRead More Death of a Salesman - A Modern Day Tragedy Essay1184 Words   |  5 PagesDeath of a Salesman - A Modern Day Tragedy The question which arises within Death of a Salesman is, Is this a modern Tragedy? A tragic play can be commonly observed when a protagonist falls from a great height. His decline is not about immediate death, although in most cases death becomes apparent at the end of the play, e.g. Macbeth. A tragedy shows the suffering of a character and utter compulsion of him if he does not succeed to reach his dream. These plays show the blissful releaseRead More Arthur Millers Death of a Salesman is A Modern Tragedy Essay1044 Words   |  5 PagesArthur Millers Death of a Salesman is A Modern Tragedy  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚      In the fourth century B.C., Aristotle set forth his description of dramatic tragedy, and for centuries after, tragedy continued to be defined by his basic observations. It was not until the modern age that playwrights began to deviate somewhat from the basic tenets of Aristotelian tragedy and, in doing so, began to create plays more recognizable to the common people and, thereby, less traditional. Even so, upon examinationRead MoreA Survey of Tragedy984 Words   |  4 PagesA Survey of Tragedy A modern tragedy of today and a tragedy of ancient Greece are two very different concepts, but ironically, both are linked by many similarities. In â€Å"Poetics†, Aristotle defines and outlines tragedy for theatre in a way that displays his genius, but raises questions and creates controversy. Aristotle’s famous definition of tragedy states: â€Å"A tragedy is the imitation of an action that is serious, and also as having magnitude, complete in itself in language with pleasurable accessoriesRead MoreExamples Of Tragedy In Death Of A Salesman1199 Words   |  5 PagesAmerican Tragedy Aristotle defines what a tragedy is in his famed piece Poetics. In it, he sets guidelines that all tragedies should meet in order to become the fantastic displays of misery that they are meant to be. Six main elements are present in every tragedy: plot, character, thought, diction, melody, and spectacle. The two most important, of course, were plot and character. Both had to be complex but believable, consistent, and possess the ability to arouse pity and fear in the audience. AlthoughRead MoreWilly Loman, the Modern Hero in Arthur Millers Death of a Salesman1739 Words   |  7 Pages In Arthur Miller’s essay â€Å"Tragedy and the Common Man†, a picture is painted of a â€Å"flaw-full† man, known as the modern hero of tragedies. Miller describes what characteristics the modern tragic hero possesses and how he differs from the heroes depicted by classic Greek playwrights such as Sophocles and Aristotle. In order to understand how drastically the modern hero has evolved, one must first understand the basic characteristics that the heroes created by Sophocles and Aristotle encompass. TheRead MoreLiterary Analysis: Arthur Miller’s â€Å"Death of a Salesman† – A Tragedy?1416 Words   |  6 Pagesthe Bible or leave it up to himself? In â€Å"Death of a Salesman† by Arthur Miller, but is it correct to define this theatric drama as a tragedy. According to Klaas Tindemans, â€Å"Aristotle’s concept of tragedy has been perceived as both a descriptive and a normative concept: a description of a practice as it should be continued† therefore, Aristotle’s definition of tragedy could be considered complex. On the other hand, according to Tony Hunt in â€Å"The Tragedy of Roland†, â€Å"in the Poetics Aristotle isRead MoreExamples Of Everyday Tragedy732 Words   |  3 PagesEveryday Tragedy When a person thinks of tragedy the thing that flows to mind is death and destruction. Even though this way of thinking is valid, there are several ways to analyze the concept of tragedy. Tragedy is when one suffers an unexpected punishment that has merged together through ones actions. Arthur Miller believes that tragedy can happen to any type of person if youre rich or if youre poor, no matter what, it can happen to all of us. Arthur shows this to us in the book Death of a SalesmanRead MoreDeath Of A Salesman Tragedy Essay1365 Words   |  6 PagesDeath of a Salesman is a tragic play written in 1949 by Arthur Miller. The story is about a salesman who lost his identity after having an affair with another woman and can’t seem to accept the changes in his life since the event. The story has been performed in theaters and shown on film for many years. Lee Siegel, a writer for The Nation explains the role of Death of a Salesman in the entertainment industry: Every ten years or so, Death of a Salesman is revived, and every ten years we get theRead MoreEssay Death of a Salesman, Tragic Hero. Willy Loman.1503 Words   |  7 PagesTo what extent can Willy Loman be considered a tragic hero according to Aristotle’s rules? Arthur Miller presents his play ‘Death of a Salesman’ in the ancient form of a tragedy. Aristotle has defined his idea of the ‘perfect’ tragedy in his text, ‘Poetics’ (350 BC).Here he suggests that the protagonist must fall from an elevated social standing as a result of a â€Å"fatal flaw† within the character; the fall from the main character creates resolution to the play which is seen as just; finally, Aristotle

Qualitative Research and Data Analysis - 875 Words

2.1.6 Data analysis In qualitative research, data analysis is a process of making meaning where the researcher has to actively create meaning out of the raw materials (Esterberg, Kristin G., 2002). The process of making meaning out of qualitative data is often iterative, meaning that there is a repetitive interplay between the collection and analysis of data (Bryman and Bell, 2007). Altogether 5 interviews were conducted with the tour operators in Denmark that are selling travel packages to Nepal. Firstly, interview was conducted with Kipling travels (31ST March, 2014) and then interviews were made with Dagama travels (2nd April, 2014), FDM travels (2nd April, 2014), Albatros-travels (24th April, 2014) and lastly CC travels (29th April, 2014). All of the interviews were conducted on different days except interviews with Dagama travels and FDM travels. The findings from the first interview were also used to ask questions in the following interviews and there was constant interplay between the data analysis of the previous interview and the data collection from the next interview. In this way, information gained from the first interview and the subsequent interviews were used, to ask questions, in the interviews done later on. Figure 7: Comparison of Qualitative Analysis Approaches (Thomas, 2006) There are various approaches that can be used to analyze qualitative data such as the general inductive approach, grounded theory approach, Discourse analysis and PhenomenologyShow MoreRelatedMethods of Data Analysis in Qualitative Research1580 Words   |  7 Pages15 Methods of Data Analysis in Qualitative Research Compiled by Donald Ratcliff 1. Typology - a classification system, taken from patterns, themes, or other kinds of groups of data. 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Although there have been so many theories and conclusions, this paper intends to discuss on the similarities and differences between the qualitative and quantitativeRead MoreCompare and Contrast Qualitative and Quantitaitve Research Methods1403 Words   |  6 PagesCompare and contrast Qualitative and Quantitative research methods Monique Gowans Charles Stuart University Compare and Contrast Qualitative and Quantitative Research Methods Qualitative research methods are complex meaningful analysis characterised by processes and meanings that are not experimentally examined or measured in terms of mathematical measurements (Lincoln, 2003; Sarantakos, 2005). Quantitative research however, relies and builds on mathematical procedures and methods, suchRead MoreResearch Methodology Used For Research1207 Words   |  5 PagesResearch Methodology Introduction This chapter discusses the methodology used for this research. 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Qualitative methods have basis in political sciences, social work, special education and education researchers History At the beginningRead MoreThe Importance Of Quantitative And Qualitative Research1012 Words   |  5 PagesQualitative and qualitative analysis has been adopted since time immemorial in providing relevance to data. By description, a quantitative research employs numerical data to quantify the adversity of a situation; thus, it addresses effect (Jonassen, 2008). The quantitative analysis involves the use of scientific methods and statistical computations to transform data into a format that is easy to interpret (Polit, Beck, 2017). On the other hand, a qualitative study seeks to identify explanationsRead MoreWeek 1 RSCH 8300860 Words   |  4 PagesInitial post Comparing Qualitative and Quantitative Approaches Researchers often times are faced with the decision of choosing a methodology of research; either Quantitative or Qualitative that they think best fits their study and objectives. This choice is guarded by the topic of study, the advantages and disadvantages, and the strengths and weaknesses of using either one or the other type of the methodologies. Researchers are sometimes using Quantitative and Qualitative research methodologies interchangeablyRead MoreThe Types Of General Data1339 Words   |  6 PagesQualitative and Quantitative are the two types of general data. Quantitative is data the deals with quantities, information that can be measured and put down as numbers on paper. An example quantitative data can be someone’s height, shoe size, and length of hair. Qualitative data is information that can’t be measured but still existed in a sense that we can understand. When taking the two of these and put them into the format of research they both have different aims in trying to collect their ownRead MoreThe Role Of Effective Qualitative Research Methods And Approaches1422 Words   |  6 Pagesbusiness research skills. The first part of this report will focus on the role of effective qualitative research methods and approaches. This will include the features of data, design and analysis, it will also discuss the strengths and limitations of qualitative research. The report will then look at how to apply a qualitative analysis technique in relation to the provided transcript of an interview, the interview is between an interviewer and an academic who is based at UWS. The research questionRead MoreQualitative Research Within The Criminal Justice Field923 Words   |  4 Pagesthis current course, could be Using Agenda for Qualitative Data Analysis, by Terance Wolfe. The pages, which would complement the class, are pages 261 through page 274. This could be useful for the class because it goes more into details on how to use Qualitative Analysis in the field through the use of agenda. Not only can it be use to better understand qualitative analysis but it is another aspect of understand how to conduct a qualitative research within the Criminal Justice field. This journal