Write 8 pages thesis on the topic reflective log on the six topics.

Write 8 pages thesis on the topic reflective log on the six topics.

In reflecting on the history of crime control, the policies of the government and the calls for reforms from citizens have played a dynamic role in shaping crime control and policing.

One issue in attempting to explicate a history of crime control in the United Kingdom is that crime statistics were not kept before 1805 and thus all endeavours to reconstruct the state of crime before then must be gathered from, at times, shady court records (Emsley 204). The genesis of modern crime control is often attributed, by most Whig historians, to the establishment of the Metropolitan Police in 1829 by then Home Secretary Sir Robert Peel (Sharpe 6).

The traditional historical account suggests that this was prompted by the rising rates of crime throughout London and other increasingly urbanized areas in the north and midlands, and the perceived outmoded inadequacy of the previous system of parish constables and watchmen, which had shown its impotence in such situations as the Gordon Riots in 1780 (Emsley 211). The elevation of crime control measures from primarily local and discretionary mechanisms to centralized and homogenous is a general trend that is in part due to the growth of London and other large cities, and the attendant concerns of urban populism mandated greater national implementation of crime management techniques (Emsley 226).

One possible explanation for this is that urban environments present a more complex and interconnected social dynamic, which can more easily breakdown with more disastrous results, than in the more agrarian and rural milieu that dominated Great Britain in centuries prior.

Rather than focusing on the dozens of crime control theories that populate handbooks and research journals, some attention should be paid to the nature of crime control theory itself and how it is established.

Write a 5 pages paper on pregnancy and mood stabilizing drugs.

Write a 5 pages paper on pregnancy and mood stabilizing drugs.

From this study it is clear that drugs commonly prescribed for patients with depression or to bipolar disorder patients include valproate, carbamazepine, lamotrigine and lithium carbonate, all of which pose risks for the growing foetus. Based on various studies, it was found out that sodium valproate and carbamazepine pose highest risks for malformation or defects, reaching up to 7.2% increase in risks. Despite the possibilities for birth defects, most studies support the idea of continuing mood-stabilising medications all throughout pregnancy to reduce the likelihood of relapse or recurrence of manic or depressive episodes.

This is because the benefits of using medications outweigh greater risks of psychotic episodes for the mother, resulting to suicidal attempts or infanticide, as well as bonding and attachment issues between the infant and the mother. Due to these, it is highly-recommended by psychiatrists that women of child bearing-age diagnosed with bipolar disorder or other related disorders regardless of relationship status or plans of getting pregnant must be well-informed of the risks in taking mood-stabilising medications and other prescriptions during pregnancy.

In order to successfully achieve these goals, it is imperative that psychiatrists must strike a balance between medication use and outweighing the risks for foetal and infant malformation in women taking prescription drugs. Studies conducted during the 1970’s when psychotropic drugs were still subjected to tests revealed that the use of such drugs caused birth defects in infants, whose mothers were using medications while pregnant.&nbsp.

Compose a 1000 words assignment on principles of effective intervention.

Compose a 1000 words assignment on principles of effective intervention. Needs to be plagiarism free!

rinciples that have become organizing concepts of community corrections which are actuarial risks or needs, enhancing intrinsic motivation, targeting intervention and skill train with directed practice.

Risk screening for the offender is important for effective management thus the need for supervision and treatment of those individuals who are offender. High risk offenders and low risk offenders should be supervised and treatment encouraged but in many circumstances the high risk offenders are the ones who should be supervised a lot since there is a high possibility of offending.

For the principle of assess actuarial risk to work effectively and transformation be achieved, the employees are formally trained so that the tools used are reliable and valid (Chidsey and Steege, 2005). The screening and assessment tools used should consider the risk factor, profile of the individual needs and if individual is in the population where crime was conducted. Routine interactions and observation of offenders should be emphasized so that supervision is an ongoing process thus becoming a formal assessment guide.

Through the decisions that are made by the supervisors on what criteria to follow when doing certain things, formal reassessments should be done in combination with working relations with the practitioners and the offender. In US, National Council for Crime and Delinquency is responsible for developing of actuarial risk assessment.

It is the responsibility of the employees to ensure that respect and inters-social behaviors are shown to the offenders so that they can enhance offender’s intrinsic motivation.

This means that the offenders will be motivated and this will be from inside an individual rather from external or from the outside rewards that may be given. When the offenders are interpersonally respected, there is a possibility of the individual attaining behavioral change and this will mean that a lasting change will be achieved.

Write 10 pages thesis on the topic sex and gender.

Write 10 pages thesis on the topic sex and gender.

les of bias will likely always occur in one form or another, but the suggestion that there has somehow been a concerted, secretive international conspiracy by evil corporations directed against women is ridiculous. This paper debunks the glass ceiling myth by examining the arguments by those who would defend its existence and by injecting context and perspective into the discussion.

Prior to delving into the multiple facets of the supposed wage gap between men and women in the workplace, one indisputable aspect should be addressed.

This nation operates on a capitalistic system. Companies large and small, in every industry and service, have one main goal which is to make a profit, the bigger the better. Therefore, it is an economic reality that if a company could hire women who would accept 25 percent less compensation than a man to perform the same job, as is popularly claimed, they would hire only women. Since this phenomenon hasn’t occurred either locally or nationally, it can be safely assumed that there is no gender-based disparity in wages, no unspoken conspiracy to discriminate against women, no glass ceiling.

A recent study which surveyed nearly 900 companies of various sizes found that about half reported that it was at least somewhat likely its next CEO would be of the female gender. This would not have been the case 30 years ago when women, driven by economic necessity, began to enter the workforce in larger numbers. Business analysts have estimated that “it takes the average man 20 years to become general manager, 25 years to become president, and 30 years to become CEO assuming he has the personal and professional qualities to make it in the first place” (Larson, 2005).

Thirty years after women on the whole became more career oriented, they are today as likely as men to assume the head position of businesses, right on schedule.

Write 10 pages thesis on the topic sex and gender.

Write 10 pages thesis on the topic sex and gender.

les of bias will likely always occur in one form or another, but the suggestion that there has somehow been a concerted, secretive international conspiracy by evil corporations directed against women is ridiculous. This paper debunks the glass ceiling myth by examining the arguments by those who would defend its existence and by injecting context and perspective into the discussion.

Prior to delving into the multiple facets of the supposed wage gap between men and women in the workplace, one indisputable aspect should be addressed.

This nation operates on a capitalistic system. Companies large and small, in every industry and service, have one main goal which is to make a profit, the bigger the better. Therefore, it is an economic reality that if a company could hire women who would accept 25 percent less compensation than a man to perform the same job, as is popularly claimed, they would hire only women. Since this phenomenon hasn’t occurred either locally or nationally, it can be safely assumed that there is no gender-based disparity in wages, no unspoken conspiracy to discriminate against women, no glass ceiling.

A recent study which surveyed nearly 900 companies of various sizes found that about half reported that it was at least somewhat likely its next CEO would be of the female gender. This would not have been the case 30 years ago when women, driven by economic necessity, began to enter the workforce in larger numbers. Business analysts have estimated that “it takes the average man 20 years to become general manager, 25 years to become president, and 30 years to become CEO assuming he has the personal and professional qualities to make it in the first place” (Larson, 2005).

Thirty years after women on the whole became more career oriented, they are today as likely as men to assume the head position of businesses, right on schedule.

Write 8 pages thesis on the topic relationship between the traditional media and social media1332.

Write 8 pages thesis on the topic relationship between the traditional media and social media1332.

As the discussion declares most research on media has mainly focused on which of the two forms of media is the best to use while communicating, advertising, or marketing. However, today more emphases need put in identifying the best way in which both forms of media can be utilized to achieve even a much effective communication tool. With the popularity and the low cost of using social media it is obvious that social media would be the most preference means of communication.

According to the essay findings understanding the relationship between the traditional media and social media will give better insight on the role social media played in the green revaluation in the Arabic world.

Similarities between the two forms of media exceed the differences. The most common aspect between the two forms of media is the need to plan. Planning involves coming up with the right information, disseminating it to the right audience and producing the intended reaction. Secondly, planning also entails evaluating and employing the right and effective channels. Effectives in media, greatly relies on the simplicity and clarity of the message, as well as, the channel used to pass the message.

It is, therefore, important to learn what best suits your potential customer, before deciding the form of media to use. Similar to a good plan, the result achieved when using any of the two forms can be quantified.

write an article on using of rtms and antidepressant drugs simultaneously to increase the therapeutic efficacy for patients with psychotic depression Paper must be at least 1000 words.

Hi, I am looking for someone to write an article on using of rtms and antidepressant drugs simultaneously to increase the therapeutic efficacy for patients with psychotic depression Paper must be at least 1000 words. Please, no plagiarized work!

Psychotic depression is a fairly common psychiatric condition that has been found to occur in nearly 20% of patients with major depression (Flores et al., 2006). The preferred treatment for psychotic depression so far has consisted of tricyclic antidepressants (TCAs) as also neuroleptic and electroconvulsive therapies (O’Neal et al., 2000). Patients with psychotic depression have a more severely disordered hypothalamic-pituitary-adrenocortical (HPA) axis (Kathol et al., 1989). The psychotic features of psychotic depression have been attributed also to excessive glucocorticoid activity (Schatzberg et al., 1985). Interestingly, HPA axis activity is, to a large extent, regulated by the combination of mineralocorticoid receptors (MR) and glucocorticoid receptors (GR) (Spencer et al.

, 1998. Young et al., 2003). Any mismatch between them could lead to inappropriate responses to stress, and incidence of major depression (Young et al., 2003). Decreases in MR sensitivity postulated to occur in major depression could result in elevated cortisol levels (Gesing et al., 2001. Young et al., 2003). In contrast, GR gives rise to feedback modifications in response to rising levels of cortisol as, for example, in response to stress or following the circadian rhythm. Hence, a GR antagonist e.g., the anti-progesterone steroid mifepristone (dimethylaminophenyl (17(-hydroxy-11(1(4-dimethylaminophenyl) 17(1- propynyl)estra-4,9-dien-3-one) exerts a powerful effect in the rising section of the HPA axis (Flores et al., 2006). A major effect of mifepristone occurs through obstruction of GR in crucial regions of the brain and in monaminergic nuclei, thereby, directly leading to recovery of symptomatic and cognitive faculties.

First observed by Bickford et al.

Compose a 1500 words assignment on genetically modified crops.

Compose a 1500 words assignment on genetically modified crops. Needs to be plagiarism free!

Some have termed the genetically manipulated crops ‘frankenfoods’ and have questioned the potential harm to people and the environment that could come from their production. This discussion will answer these questions regarding the safety of these foods and present an overview of bioengineered foods.

Bioengineering food involves “splicing a gene from one organism, such as a bacterium, into a plant or animal to confer certain traits” (Muth et al, 2002). These traits, developed for agricultural crops such as corn, soybeans, canola and cotton include increasing nutrients, tolerance to herbicides and drought, resistance to fungus and insects and reduced spoilage.

Bioengineered corn and soybeans have become increasingly widespread among farmers during the last decade and the products can be commonly found in most grocery stores. Companies that engineer and produce bioengineered foods as well as manufacturers that choose to use these foods in their ingredients are faced with a stringent and ever-developing regulatory oversight by three government agencies. the USDA (U.S. Department of Agriculture), the EPA (Environmental Protection Agency) and the FDA (Food and Drug Administration).

Which agency regulates a particular product is determined by the intended use of the crop. Very often, a product is regulated by multiple agencies. The Animal and Plant Health Inspection Service, a division of the USDA monitors products and organisms that affect plants. Products and organisms derived from bioengineering methods introduced to or manufactured in the U.S. require USDA identification. This agency then determines if the item in question is a ‘regulated article’ or a possible disease.

submit a 1500 words paper on the topic Privacy Bounded with Surveillance and Security.

Hi, need to submit a 1500 words paper on the topic Privacy Bounded with Surveillance and Security.

One should note that surveillance in different forms existed from the very dawn of civilization, when specially hired people collected information by listening to conversations, intercepting letters and watching people through small holes. It is quite obvious that nowadays the government has developed newer ways to perform surveillance. Indeed, at the present moment, the population is being tracked with the help of different devices. For example, the all expression “to blend in with the crowd” has almost lost its meaning as it is possible to track the route of a particular person when one is using public transportation.

Thus, the cards that people are using in the subway send data to the center where this information is accumulated and all this allows other people to reconstruct a daily route of a person. In other words, public transportation is no longer a means to travel secretly: it is being monitored by cameras and computers. In addition to that, driving a personal car also may not be considered to be a more private way of traveling. Thus, the development of technology contributed to the emergence of Automatic Number Plate Recognition systems which are able to identify the number plate of a car with great accuracy, regardless of the speed that the car is moving at (Lyon 2001, p. 18). Keeping in might that a lot of roads are equipped with this kind of system, one should note that all this forms a widely spread framework when the movement of a personal car is being closely monitored so a person can hardly go off the radar, so to speak.

What is more important, the iconic devices of the modern world, namely smartphones, may also be monitored by the government. There is a legal framework that requires providers of communication services to record personal conversations and store them. moreover, the subject whose conversations are recorded may not be notified. (Bryant 2014, p. 183). Finally, the most popular platform for social interaction nowadays, namely the Internet, is being watched by the government too. For example, service provides are able&nbsp.to collect information about the websites a person visited and one’s search inquires so that this data would later be handed to the government.

research paper on 1933 securities act. Needs to be 2 pages.

Need an research paper on 1933 securities act. Needs to be 2 pages. Please no plagiarism.

1933 Securities Act 1933 SECURITIES ACT The Securities Act of 1993 is a federal legislation enacted in the aftermath of the 1929 market crash with the aim to enhance transparency in financial statements to enable investors make informed investment decisions, as well as to establish rules and regulations against fraudulent activities and misrepresentation in the securities market (Hecker, 2014). It was the first federal law covering the trade in securities, with this trade governed primarily by state laws before the 1929 market crash and the subsequent federal legislation.

The federal government, as a result of the turmoil faced by U.S. investors, sought to re-establish investor confidence and stability in the overall security-trade system. Generally, the Act was enacted due to the realization that more information was required about and within the securities market. In this case, the Act addressed requirements in the securities market to enhance disclosure by requiring all companies in the U.S. to seek registration with the Securities and Exchange Commission before beginning their operations (Hecker, 2014).

This registration was meant to ensure that companies gave potential investors and the Securities and Exchange Commission with relevant information, specifically through registration statements and prospectus.

Exempt Securities

However, under the Securities Act of 1933, specific securities are exempted from these registration requirements. These exempt securities either come from other government regulatory agencies with a form of jurisdiction over the securities’ issuers, or from issuers with a high credit worthiness level.

These securities include municipal bonds such as local government bonds, securities issued by federal agencies or the United States’ government, and securities issued by credit unions, savings institutions, and banks (OConnor, 2014). In addition, other exempt securities include public utility bonds or stocks, fixed annuities and insurance policies, and securities issued by non-profit, educational, and religious organizations. Finally, bankers’ acceptances, bills of exchange, notes, and commercial papers with initial maturity periods of less than 270 days are also included under exempt securities.

In this case, the fixed annuities are included under securities that are exempt from registration with the Securities and Exchange Commission because insurance companies that issue them are guarantors of the payout (OConnor, 2014). Nevertheless, variable annuities need to be registered since the payout varies based on how securities in separate accounts perform.

Exempt Transactions

Other securities offered by corporations may also be exempted from requirements form full registration under the Securities Act of 1993, in this case as a result of the nature of the securities’ sales.

Intrastate offerings are one example of exempt transactions, in which security offerings within an individual state by companies incorporated in that state selling at least 80% of the business in the state to the state’s residents are exempt from SEC registration (OConnor, 2014). Regulation-A offerings, which are security offerings worth less than $5 million over a period of 12 months, are also exempted from requirements to fully register with the SEC. although the issuer is still required file abbreviated or simplified registration statements.

Regulation D offerings, which involve offering of securities to fewer than 35 unaccredited investors annually and also referred to as private placements, are also exempt from full registration with the SEC (OConnor, 2014). However, securities that are exempt from SEC registration are still subjected to antifraud regulations under the Act, where the issuers are required to provide accurate data and information on securities offered to the public.

Reference

Hecker, A. (2014).

Securities Act of 1933. St. Johns Law Review, 8(1), 188-193

OConnor, S. (2014). The Securities Act of 1933: A Jurisdiction Puzzle.