Saturday, August 31, 2019

The case of Bernie Madoff remains

The case of Bernie Madoff remains to be a controversial aspect due to his ability to commit fraudulent acts against individuals and companies whether they may belong to the upper or middle class. Due to this, the repercussions of is actions remain to be a debate due to its timeliness with the ongoing American fiscal crisis. That is why careful considerations must be made in order to actively understand the parameters of this case and align its application with normative ethics.Looking at this particular case, it can be seen that Madoff conducted what usual economists calls a Ponzi scheme. This system creates various business practices that aim to provide fraudulent information among a client base to generate significant income and profit (Moore, 2009). This setup forwarded increased profits on Madoff as he continued to lobby for this act in different sectors. Such actions then resulted to huge losses as profits promised for clients were unequal to the actual amount (Lezner, 2008).Thi s situation also resulted in the furthering negativity for hedge funds as the economy and the stock market continued to decline and drop. â€Å"The arrest of the 70-year-old Madoff, widely considered to have the magic touch as an investor, is another serious black eye for the hedge fund industry and all non-transparent investment vehicles† (Lezner, 2008, p. 1). Such ideas furthered rethinking how might have Madoff gained the ability to continue this practice for several years.Analyzing this case on the perspective in the realm of ethics, it may be a good portion to argue about Madoff’s ability to act and commit actions that is considered good or bad. In here the standards and ideals provided by society and the business perspective comes into picture as the question of whether Madoff should have been awaiting trial at home or in jail. In arguing for this scenario, it is essential to denote what normative ethics can provide and shed sufficient justification for the actio ns committed by Madoff.In understanding the elements of normative ethics, it tries to seek and provide theories of how individuals should live (Moral Philosophy, 2005). This branch tries to explain the parameters of individual actions with the use of several approaches that denote different factors affecting human lives. By fostering on this element, a careful yet comprehensive approach can be deciphered if whether or not Madoff should be awaiting trial and verdict in home or jail.Operating on the virtue ethics category, it is essential to look into the parameters of the case such as the plaintiff, how the action was conveyed, and its relevant consequences (Moral Philosophy, 2005). Applying this on Madoff’s case, it can be argued that his actions neither constitutes morally accepted traits nor seek to provide away that can help improve people’s lives. Since this facet revolves around the application of virtues and character, the action portrayed by Madoff does not coin cide with the positive traits an individual should posses.Due to this it makes it difficult and hard to establish a relationship towards good. Applying this to the question of where he should be situated during trial, virtue ethics would argue that the most appropriate choice would be waiting verdict in jail. This is because it can help compensate and correspond to the negative values committed by Mardoff to his victims. Though this approach also considers undesirable consequences, it is still a manifestation of character that needs to be compensated accordingly (Moral Philosophy, 2005).Likewise, this is chosen because under the other condition, it can provide several freedoms that Mardoff can enjoy and acquire. By having serving time in jail during the trial, it will actively address the similar actions conveyed by Mardoff. On the other hand, operating under deontological framework, it does not consider the consequences of the act given but rather focuses in the ability of whether an action is good or bad (Moral Philosophy, 2005). Operating on this approach, deontologists would argue that the actions committed by Mardoff are not congruent with what is appropriate of an individual.This element then necessitates the idea that it should promote something that is significant and essential towards what is prescribed by rules and standards of any group, organization and society. Thus, the element of whether or not Mardoff should be in jail or under house arrest is not significant. What is significant for deontologists is establishing that the actions committed by Mardoff are right or wrong in their own essence. Lastly, the condition provided by the consequentialist theory points out the significance of the results created by an action committed by the individual (Moral Philosophy, 2005).Under this idea, consequentialism in normative ethics is concerned about the positive or negative outcomes of a particular action and how it impacts the creation of another event or situation related to such. It is through this framework that individuals and groups can create the necessary explanation of how it can create actions constituting good or bad. Applying this to the case of Mardoff, consequentialist would argue that the action appropriate for this case is that Mardoff be situated in the jail and await his sentence.This action is significant due to his ability to create consequences that affected many peoples and company’s lives. His actions also contributed to the downfall of many industries as his assurances of high profitability and stability went down the drain. Seeing this, it is only justifiable that Mardoff serve in jail due to the large consequences of his actions committed. On the other hand, operating on the other category, allowing Mardoff to stay at home under house arrest will only generate minimal outcomes compared to his actions committed to many.This initiative would only necessitate several freedoms that may not be available wh ile in jail. Due to this, this action may not be a feasible option from the point of view of consequentialist. To conclude, applying normative ethics in the case of Bernie Mardoff revolves around the action of understanding how his actions constituted good or bad. Under the three different approaches, it can help provide clear insights and understanding of how the concept can be properly addressed and administered accordingly.Due to this, it can facilitate a functional framework of interpreting the case of Mardoff in an effective and efficient manner. References Lezner, R. (2008) Bernie Madoff’s $50 Billion Ponzi Scheme. Retrieved July 13, 2009 from, http://www. forbes. com/2008/12/12/madoff-ponzi-hedge-pf-ii-in_rl_1212croesus_inl. html Moore, M. (2009) Bernie Madoff. Retrieved July 13, 2009 from http://www. time. com/time/specials/packages/article/0,28804,1894410_1893837_1894189,00. html Moral Philosophy (2005) Normative Ethics. Retrieved July 13, 2009 from http://www. moral philosophy. info/normativeethics. html

Friday, August 30, 2019

Investigating the Effects of Surface Area on the Rate of Reaction Essay

Aim: To study the effects of changing the surface area on the rate of a chemical reaction Hypothesis: This hypothesis is based on the Collision Theory, where in order to react, the two particles involved must: 1. Collide with each other 2. The collision must be energetic enough to overcome the activation energy of the reaction 3. The collision must bring the reactive parts of the molecule into contact the correct way – they must collide with appropriate geometry (the reactive parts) Considering that the surface area of a particle is a factor that mainly affects the collision rate of particles, it would be safe to assume that as the surface area increases, the reaction rate increases. The graph should turn out to be something like this: 1. the reaction is the fastest at the start 2. The reaction is slowing down here 3. No more product is formed Amount of product Time Variables: Variable Factor What is manipulated Dependent Time The time it takes for the reaction to complete depends on the surface area of the compounds being used, because it determines the rate in which the reaction will occur. Independent Volume of the gas collected (H2, CO2) The amount of gas collected for each experiment will depend on the Controlled 1. Mass of Calcium Carbonate (both marble chips and powdered form) 2. Mass of Magnesium (both ribbon and powder) 3. Volume of Hydrochloric Acid 4. Apparatus Used 1. The masses of the substances utilized will remain constantly fixed during the experiment 2. 50 cm3 of HCl will be used for every trial – 550 cm3 in total 3. The apparatus used will remain the same throughout the whole experiment Chemical Reactions: Mg + 2HCl → MgCl2 + H2 1. Magnesium ribbon 2. Hydrogen Gas will be the gas collected 1. 3 Trials will take place 1. Mass of Magnesium ribbon in: 1. Trial 1: 0.064 grams 2. Trial 2: 0.063 grams 3. Trial 3: 0.065 grams CaCO3 + 2HCl → CaCl2 + H2O + CO2 1. Marble Chips 2. Carbon Dioxide will be the gas collected 1. 2 Trials will take place 1. Mass of Marble Chips in: 1. Trial 1: 3.998 grams 2. Trial 2: 3.988 grams Na2CO3 + 2HCl → 2NaCl + H2O + CO2 1. Sodium Carbonate (Powdered) 2. Carbon Dioxide will be the gas collected 1. 2 Trials will take place 1. Mass of Sodium Carbonate 1. Trial 1: 0.504 grams 2. Trial 2: 0.505 grams Apparatus: 1. Eye-Protection – 1 pair of Safety Glasses 2. 1 pair of Scissors 3. 1 Electronic Scale 4. 1 Conical Flask (100cm3) 5. 1 Single-holed rubber bung and delivery tube to fit conical flask 6. 1 Measuring cylinder (100cm3) 7. Stopwatch Chemicals: 1. 12cm of Magnesium Ribbon 2. 550 cm3 of Hydrochloric Acid 3. Marble Chips 4. Sodium Carbonate (Powdered) Method: 1. Set up apparatus as shown 2. Fill the conical flask with 50cm3 of HCl 3. Insert the end of the syringe into the hole on top of the stopper 4. Add the magnesium ribbon 5. Seal the flask with a rubber stopper as quickly as you can, at the same time have someone else present to start the stop watch once the magnesium ribbon has been added to the hydrochloric acid 6. As the reaction takes place, note down the time it takes for the gas collected to reach a multiple of 5 (i.e. 5mL, 10mL †¦.50,55,60,65 etc) 7. Keep measuring until the reaction has stopped, or you are unable to measure anymore 8. Repeat each experiment 3 times, just to be sure the data collected is accurate 9. At step 4, replace the underlined compound with the next compound after one experiment is completed Conclusion Unfortunately I was unable to create a graph using time as the independent variable, because the lab that I had utilized did not have the equipment available to accurately to record the data if time were to be the independent variable. Another factor that played into my decision was the fact that the smallest calibration of the glass syringe I used was 5 cm3. Since the only visible measurements shown on the syringe were multiples of 5, it would only seem reasonable that I switch around the variables, making time the dependent variable, and the volume collected the independent variable, since I couldn’t exactly measure how much gas would be collected every 5 seconds; otherwise the relationship the graph would depict would be completely incorrect. As you can see on the graphs, the slightly steep slopes show when the reaction is the quickest, as it should be in the beginning. The curve shows the reaction slowing down, but unfortunately the curve continues. This is because the reaction is still taking place. I was unable to record the rest of the data because the measuring tools that were available weren’t able to record to such a high degree. In some cases though, like in the powdered sodium carbonate experiment, the reaction began so quickly that I wasn’t able to record the time in most cases, so I just stuck with those that I had managed to note down. In other cases, there were so many distractions in the lab that it was difficult to remain focused. My classmates kept removing some if the items that I was using. The idea was to see how the rate of reaction changed when the surface area of a substance was increased. Initially, my plan was to react magnesium ribbon and magnesium powder with 1 mole of Hydrochloric acid; so I could compare and contrast how the surface area of the substance affected the rate of reaction. I had planned to keep everything about the two substances the same. Its element, mass, the amount of Hydrochloric acid I was going to react with it; the only thing different would be its surface area. Unfortunately the Lab didn’t have any available. So I decided to do the same experiment to Calcium Carbonate, this time using marble chips and powdered calcium carbonate. To my dismay I found that the powdered calcium carbonate wasn’t reacting at all. So I had to change it to sodium carbonate. There is skepticism about using different elements, seeing as they have different orders of reactivity. These factors, including the concentration of the acid used, could also affect the rate of reaction. However, the same acid concentration was used for all experiments, in all trials; so we can dismiss that. However, sodium is much higher up the reactivity series than calcium, which is higher up the reactivity series than magnesium. This is the problem with this experiment; the elements positions in the reactivity series could have really altered the rate of reaction. However, the experiments still prove that when the surface area of a substance is increased, the rate of reaction increases as well. This happens because, when two substances react only the surface particles of the substances can come into direct contact with the reactant particles. Increasing a substance’s surface area, like turning big solid chunks of calcium carbonate into powder, leaves more solid particles available to react. The more particles available to react at one time, the faster the rate of the reaction. Like this: Only atoms on the surface can react If you break the substance down, more atoms are exposed and ready to react. Evaluation Considering the lack of material available, I think I was able to manage the experiment fairly enough to produce results. However, I am not pleased with the factors that may or may not have affected my results, and the circumstances in which I had to switch my variables around. Therefore I would like to state a few things I would like to alter, if ever I got the change to do this experiment again. 1. Apparatus 1. Next time, instead of using a stopwatch, I would like to use a digital device, like a laptop for example, that was somehow connected to the glass syringe, which was programmed to record the volume of the gas collected every 5 seconds. This time the graph would turn out the way it should be. 2. Instead of using a measuring cylinder, I would replace it with a burette, as it takes more accurate measurements of liquids. 1. Chemicals Used 1. I would try and used the same element next time; the only difference would be the surface area. For example, if I used magnesium, to study the effects of surface area on the rate of reaction, I would only you magnesium ribbon and magnesium powder. Studying different elements with different reactivity’s would dismiss any data already collected because an element’s position on the reactivity series may also determine the rate of reaction. Use the same element. 1. Amount of People involved in the experiment 1. If I had to do the experiment again, with the same apparatus, I think I would like to have 3 people participating in the collection of data. 1 person would be watching the syringe rise and call out to record whenever it rose, the 2nd person would time it, and the 3rd person would record it. This time, the data may be even more accurate, because no one is taking their eye off the experiment, like I was doing during my experiment just to record data. I feel that altering these aspects of the experiment would increase the level of accuracy, as to get more substantial data to calculate the order of reaction. Unfortunately with the data I have so far, I am unable to derive the concentrations of the substances I had utilized in my experiment. However, as the objective was to investigate whether or not different surface areas affected the rate of the reaction, I think that I have produced enough data to support my theory.

Milk & Food Coloring Lab Report (Importance of Surfactant)

Importance of Surfactant Introduction Surfactant is an essential component for the respiratory system to function properly. Knowing the physiology of surfactant in the alveoli is important to know when learning the structure of the air sacs and how they work. This experiment is designed to make the understanding of surfactant in the alveolar film easier to learn, because it's not very simple. Surfactant is a detergent-like substance produced by the Type II alveolar cells in the walls of the alveoli. Surfactant is produced to reduce the surface tension of the water molecules that primarily compose the walls of the alveoli.For this experiment, we will be using milk and food coloring to represent the water (milk) and gas (food coloring) in the respiratory system, as seen in the liquid-gas boundary of the alveolar wall (water) and its volume (gas). We will place the milk in a shallow dish so that it completely covers the bottom of the dish. Drops of food coloring are going to be added in to the milk at the center of the dish, and then observed. Drops of liquid dishwashing soap, representing surfactant, are then added to the center as well. Once the soap drops are added we will observe what changes happen to the food coloring and milk.Because I know milk is non-polar and food coloring is polar, my hypothesis predicts the two will not mix voluntarily at first, but the soap acting as a surfactant, when added, will help the two liquids mix together. Materials and Methods For this experiment, I used a 16oz milk, 4 different color food coloring bottles, liquid hand soap, and a small clear dish with approximately 5 inches in diameter. I placed the dish in a flat steady surface. I then poured the milk making sure the whole bottom of the dish is covered and still remained shallow.Next, I added about four drops of food coloring to the milk at the center of the dish. Lastly, I added about four drops of the liquid hand soap in the same exact place where I had added the food col oring. Results When the food coloring was added into the milk, there was no reaction. The food coloring did not mix into the milk, it just sat there clumped together like oil in a lava lamp. After adding the drops of liquid soap, the food coloring droplets rapidly mixed into the milk by running in every direction. It looked like an explosion of color.The color streaks continuously span slowly in the milk. Discussion As my hypothesis stated, the milk and food coloring did not mix voluntarily because of their polarity. Non-polar molecules want to bond with other non-polar molecules (London dispersion forces) and polar molecules bond with the polar molecules (Dipole-Dipole forces). Think of all the milk molecules acting as very powerful magnets between each other, and the same with the water molecules. In this case, the soap –acting as the surfactant- broke the surface tension between the two liquids allowing them to mix together.In other words, it reduced the magnetic attractio n between them. As we stated, the milk molecules are non-polar and the food coloring molecules are polar. Soap is one of the awesome liquids that is both polar and non-polar. Its molecules have a polar head, which attracts other polar molecules, and a non-polar body, which attracts other non-polar molecules. When the liquid soap molecules were added to the solution, they attracted both the milk and food coloring molecules causing them to mix like they did.In the alveoli, the gas is non-polar and the water in the walls of the alveoli is polar. Surface tension in the alveoli is very high because of the liquid/gas boundary. This surface tension draws the liquid molecules closer together and reduces their contact with the gas molecules; this way the alveoli do not collapse. The water in the walls of the alveoli help the alveolar walls come together during exhalation (when the oxygen leaves the alveoli), so that they stick together and allow the alveoli to reach their smallest size.The s urfactant that is secreted aids the walls to be able to come together, but not with the attraction of their potential because it’s too strong. If they came together with their normal attraction, the walls would stick together and their strong surface tension would not allow them to unstick. A collapsed alveola will have to be completely re-inflated during each inspiration, which takes a lot of energy to do. With the surfactant, during inhalation the incoming gas is able to split the walls open because their attraction is not as strong.This way, the walls are able to come apart easier and make more space for the oxygen that fills up the alveoli. If our alveolar cells did not produce surfactant whatsoever, breathing would be very hard. Each inhalation would not have the easy flow it has now; it would take a lot of energy and not to mention be tougher. Conclusion Just like the water and gas in our lungs, the milk and food coloring would not have been able to mix. Both the liquid soap and the surfactant reduce the magnetic force that unites liquid molecules- in this case allowing milk and food coloring to mix.Without this experiment, we’d be overlooking one of the many underrated ways our bodies get away with remedies for making our daily routines easier. This experiment helps us understand the importance of surfactant in the respiratory system. Liquid molecules have a very high surface tension that is not easy to get rid of. But, as we observed, savvy Mother Nature blessed us with surfactant and soap that can easily break bonds. Literature Cited Marieb, Elaine N. , and Katja Hoehn. Human Anatomy ; Physiology. 9th ed. Pearson, 2012. Print.

Thursday, August 29, 2019

Americans were reluctant to get involved in World War II (the war Essay

Americans were reluctant to get involved in World War II (the war started in 1939; the U.S. did not join until 1941). Why do you think this is - Essay Example Americans aided many of the European countries throughout the war to recover from the great depression. However, they finally were forced to enter into the war when Hitler declared a war against them and when Japan attacked the Pearl Harbour. Americans had suffered much from the World War I and had been hit by the great depression which left thousands of citizens unemployed and homeless. At the time of the World War II, the Americans were still recovering from the great depression and had adopted isolation. Many Americans, called isolationists, believed that they were not ready to enter another long and costly war. Congress passed the Neutrality Act in 1935 which referred to outlawing the provision of supplies and funds to the warring countries. However in 1939, Germany’s aggression towards England caused President Roosevelt to be an interventionist and take permission from the Congress to supply aid to European countries. Many of the Americans still opposed this intervention criticising that German military was really tough to defeat since American military was not ready for a war. U.S. intervention in the war would thus not be a good move. Hence, the U.S. did not initially enter the war. The second reason, which is the most important one, is the attack on Pearl Harbour in 1941. On the morning of 7th December, the Japanese Navy conducted a surprise attack on the naval base at Pearl Harbour, Hawaii. After two hours of the attacks, more than 21 ships were damaged or sunk, 2400 citizens were killed, and about 188 aircrafts were destroyed. This attack outraged the Americans and the next day they abandoned their isolationism policy and declared war against Japan. This was the time when U.S. was officially a part of the WWII. The Japanese attacked the U.S. because they did not want to make any more negotiations with them. The Japanese wanted their expansion in Asia which was hindered because of the restricted embargo on Japan by the U.S. The

Wednesday, August 28, 2019

Health care interview Essay Example | Topics and Well Written Essays - 500 words

Health care interview - Essay Example followed healthy lifestyle with outdoor activities and nutritious food habits. They mainly access healthcare through medical expenses and consult their local doctors. As part of baby boomers’ generation, their health related expenses are fully insured by state and Medicare takes care of it. They are satisfied because they find their doctors friendly who empowers them with information about illness so that they can take better prevention next time. In the times of the fathers, life had become more hectic which left little time for outdoor activities. The technology had infiltrated all aspects of their personal and professional life. They access healthcare through local government clinic and specialist that have opted for in their health insurance. Most pertinently, healthcare deliverables had become market driven. Healthcare is purchased by individuals and employers from private agencies and insurers and not government. This segment is not satisfied as they could only opt for healthcare plans which they could afford and not what they actually required. It also meant that in cases of serious illness, their finances were stretched badly. For poor and marginalized population access to quality healthcare was limited due to lack of resources. Access to healthcare services was also tedious due to long queue and waiting. Access to healthcare services were accessed mainly by prior appointments with specialists and relied on strict med ications for getting well. They were more resigned to higher cost of healthcare and had little faith in alternative medicines. The current generation of people is technology driven but it also realizes the importance of holistic treatment. It believes in empowered decisions and therefore is more inclined to research the illnesses through internet. They access healthcare through local dispensary as well as consult specialist if the

Tuesday, August 27, 2019

Facts about Leonard Peltier Research Paper Example | Topics and Well Written Essays - 2500 words

Facts about Leonard Peltier - Research Paper Example   In these cities, instead of the promised land they were pledged upon with, they suffered joblessness, poverty, and hopeless despair. Due to this torment, the American Indian Movement was born. The movement was born due to the issues that the people are facing every day, such as police brutality, high unemployment rates and the Federal Government’s policies concerning the American Indians. The group was composed of people who do not fear the government and are willing to lay their lives down for their fellow Indian people. AIM did not only become instrumental in shaping the American Indian’s path across the country but opened the eyes of the world through AIM protests, to the Siege at Wounded Knee. Some of the unforgettable leaders of the society were Dennis Banks, John Trudell, Russell Means, Eddie Benton-Banai and Clyde, and Vernon Bellecourt. They have been envisioned by Leonard Peltier as imperfect people; however, they have the bravery and compassion for their f ellow Native Americans. These people inspired Leonard Peltier, who was 14 years old then. At an early age, he experienced rank racism, political activism, and brutal poverty. He was inspired to attend meetings on the reservation with his father. With this action, he was convinced that we would want to live for the people of Pine Ridge Reservation and be a protector in their disposal. He realized that he can do something worthwhile of his life and for his people. One of his most successful conquests was the 1970 peaceful takeover of abandoned Fort Lawton, outside Seattle Washington, which is originally under the right of the Indian people. Because of this passion, he became the leader of AIM.  Ã‚  

Monday, August 26, 2019

Common Myths of Black Americans and the historical reality Research Paper

Common Myths of Black Americans and the historical reality - Research Paper Example During the 1800’s, there was a high threat of slavery that existed in America. Many black Americans were brought and sold and were forced to work as a slave property. Even the families of the black people were broken and were sold as slaves in various parts of the nation, which certainly imposed a grave challenge to the existence of the race during the then period. However, the Black community also had an advantage to migrate back to their homeland, Africa, escaping from the colonization practices, with the help of the then activists. To be precise, the then American society witnessed a polarization effect within the thoughts and actions of philanthropists, abolition lists and clergy.In the year 1890, following the 11th Census of the US, with the end of the frontier, the miners of the west began recruiting African immigrants or the Black Americans, which attracted the population at large percentages towards the West. As a consequence, the farmlands of the west also began to be filled, witnessing massive reconstructions in the legal framework, simultaneously with the changing social norms and perceptions. Overall, the closing of the frontier had immense effects on the perceptions of the African Americans as well as the Whites in the community, forming myths to shape its history (Turner). Majority of the myths identified in this period of the American Frontier were argued to deprive the Black Americans from their fundamental rights to be free and rather made them subjected to racial discriminations.

Sunday, August 25, 2019

Marketing plan Research Paper Example | Topics and Well Written Essays - 3750 words

Marketing plan - Research Paper Example UAE hold a population that is among the top earners and top spenders on grooming in the world. It has the largest cosmetics and grooming market among the Gulf countries and men’s grooming has transformed from a niche market to an unavoidable business segment in the past 10 years and holds further growth in the next 5 years. While the prime driver of men’s grooming market is shaving products, research suggests that skin care and hair care for men are expect to grow big in the near future. The male grooming products market of the UAE is currently a $56.16 million (208 million UAE Dirhams) business, which is expected to grow to $84 million by 2018. As per the official 2010 estimate, the UAE male population of 6,161,820 outnumbers the female population of 2,102,250 by almost 3:1. Among the male population, 92% consists of expatriates, mostly young people from emerging countries like India, Sri Lanka, Pakistan and Bangladesh, who today are no longer stereotyped as blue-colla red workers. In fact, Asian expatriates make up 44.6% of the total number of entrepreneurs in the UAE and of late, the pay rate differences between Asian and western expatriates are reportedly diminishing. In fact, Asian expatriates contribute about 63% of total consumer expenditure of the UAE The lucrative men’s grooming market is currently dominated by large multinationals such as L’Oreal, Nivea and Unilever. However, the market has so far gone largely untapped as these organisations operate by importing and selling their products through regional branches. Evidently, even in its current status, there is a huge business potential in men’s grooming in UAE. This report discusses the marketing plan of Arome de l'Emir, a proposed business that wishes to provide world-class hair care, skin care, shaving kits and fragrance products primarily to the young Asian male expatriates of the UAE. The goal of Arome de l'Emir is to be a pioneer business in the men’s gr ooming and lifestyle products market that enjoys high customer loyalty and brand recognition and delivers high value. However, the report highlights the many advantages, disadvantages, challenges and threats that Arome de l'Emir would face on its path to achieve its goals. Table of Contents Executive Summary 2 Table of Contents 4 Business Strategy 5 Business Goals 5 Mission statement 6 Internal and External environments 6 Market needs and opportunities 9 Marketing Strategy 11 Segmentation / target market 11 Intended Positioning 12 Product Analysis 13 Place (distribution network) analysis 14 Integrated communications analysis 15 Pricing analysis 16 Ethical Issues and Social Responsibilities 16 Conclusion 17 References 18 Business Strategy Business Goals Arome de l'Emir is a proposed business that wishes to have presence in men’s grooming. It will provide world-class hair care, skin care, shaving kits and fragrance products for the young male expatriates and citizens of the Uni ted Arab Emirates. It strives to bank in on the huge untapped male health and beauty market and be a market leader in the UAE in this business. Arome de

Saturday, August 24, 2019

Borrowed Theories guiding practice Essay Example | Topics and Well Written Essays - 250 words

Borrowed Theories guiding practice - Essay Example Knowles further theorizes adults need to be aware of why they need to learn something. Adults exhibit self-directed concept when learning. Adults have a plethora of experience, which can be conducive to learning new things. Adults want to learn things that may help them solve real-life problems. For adults, learning is problem-centered. Adults are motivated to learn to solve immediate/practical problems (McEwen & Wills, 2014). The theory of adult learning focuses â€Å"on the immediate value to the needs of the learner† (Gatti-Petito et al, 2013, p. 273) and problem-solving (Gatti-Petito et al, 2013). When performing patient education, the APN can employ Knowles concepts and assumptions to creating a successful educational outcome. This will leave the APN satisfied in knowing aspects of the teaching were absorbed. This will also leave the patient self-confident in conquering health issues and being an active, integral participant in their own healthcare. Gatti-Petito, J., Lakatos, B. E., Bradley, H. B., Cook, L., Haight, I. E., & Karl, C. A. (2013). Clinical Scholarship and adult learning theory: a role for the DNP in nursing education. Nursing Education Perspectives, 34(4), pp.

Friday, August 23, 2019

QIP6 Essay Example | Topics and Well Written Essays - 750 words

QIP6 - Essay Example Yet this does not mean that humans are doing a positive job in providing food and education for themselves. For example, and from my health promotion class, we studied that when it comes to providing food, humans have started to consume more unhealthy food such as fast food and less healthy food such as fruits and vegetables. This necessarily has a negative impact upon health. To Hispanic and African American citizens in the United States, who mostly live in poorer neighborhoods, the availability of money and access to buy healthy food does not always exist. Moreover, due to the fact that less healthful food is invariably presented at a lower cost, these stakeholders prefer to buy fast food. In addition, the reason why African American and Hispanic are more prone to get heart diseases and diabetes is because most of them feel discriminated by white people and pressured into the lifestyle that they live. Also another reason is that many of them do not have access to health care or hav e health insurance. Moreover, even for those who have health insurance, they have to pay for it while working in a low income job. 4. Health can be categorized as a human security issue when it comes to inequality, exclusion and violence. 5. Health is defined by the World Health Organization as â€Å" (a) complete physical, mental and social well-being and not merely the absence of disease or infirmity†. 6. Gender, environment, wealth, ethnicity and education are determinations of health. 7. In some countries, girls are being discriminated even in health. For example, in many countries the social stigma dictates that girls rarely go to hospitals if they are sick. 9. Gender is the culturally constructed attitude behavior roles that are based on sex and sexual identity. 10. Sex and gender are mostly conflated with each other in some societies. 11. War and militarization have a huge affect on health because of the causes of death, injuries and lack of food and water. 12. The WHO indicated that defined violence is â€Å"the international use of physical force or power, threatened or actual, against oneself, another person, or group or community, that either results in injury, death, psychological harm or deprivation. 13. War’s goal is to harm the enemy’s health in order to make them weaker; which can be effected through weapons and military attacks on the enemy’s land. 15. War can affect women also; as they are oftentimes the victims of rape and other forms of sexual violence which can not only immediately harm them but give them the increased risk of having an STD. 15. The role of the state is to provide human security through prevention, monitoring and anticipating health threats. This can be achieved by providing protection for people and medical care. Also, this can be accomplished by decreasing the use of chemical weapon and any kind of activates that can affect the surrounding environment of the people and risk their health. 16. Violence is a reason why health care system and education failed in some states. 17. Human security and human rights are important to each other as they identify the importance of freedom and basic insecurities. 20. In a globalized economy as the production of arms increases, weapons will easily fall into the hands of the wrong individuals and/or the wrong heads of states. 21. The LOC between India

Thursday, August 22, 2019

Your choice Essay Example | Topics and Well Written Essays - 750 words

Your choice - Essay Example To serve the best interests of the people, it is seen as a necessary requirement to have the people actively involved in the running of the system (Shafritz, 2006). This paper will review the importance of a strong and effective public administration system in society. In order for there to be organization and order in a society, there must be the existence of an organized system that helps run the society. Respect for law demands that all those that want to be involved in the running of the administration need to understand it. This is in order for them to understand the principles behind such governance. Understanding this helps them, not only to understand being governed, but it also helps those governing, how to govern. Public administration offers people a forum to be heard and attention is given to their needs (Shafritz, 2006). According to Woodrow Wilson, he believed that public administration that was put in place failed. He believed that public administration and the government that were in place were two separate entities. There was the belief that there was to be a distinction from politics and administration. This is all in line with the case of The Blast in Centralia No. 5. It is difficult for any system of governance to create a system that is safe for everyone whilst it has leadership problems. This is next to impossible. A system has to be morally upright in order for it to function as it should. Without the internal order, it is not possible for it to govern external affairs. The need to re-establish government services around the area of administration is particularly vital (Stillman, 2009). Government services enable society to be served without much tussle. It is their job to represent the people on a much higher level. Public administration has a crucial part to play in the creation, and implementation of goals in a society. These goals and objectives help in the alleviation of poverty and the creation of employment.

Transition Services for Special Education Students Essay Example for Free

Transition Services for Special Education Students Essay Abstract This study examined the issues on life-span transition services for special education students. By exploring the existing approaches to transition services and analyzing outcomes they provide for the disabled persons the study tried to find out the strengths and weaknesses of these approaches as well as to define the future trends able to enhance transition programs designed to increase the likelihood that the disabled person will be able to secure and maintain employment, function independently in the community, and ultimately become a satisfied and productive member of society. The results of the study demonstrated that to be successful transition services have to be transdisciplinary in nature. Besides, the use of collaborative teaming among professionals, agencies, the student, and family members, the use of the curriculum that focuses on the interactions between the student and his/her environments as well as the establishment and use of interagency linkages to facilitate the smooth transfer of support and training from the school to adult and community agencies when the student exits public schools are the most important components of successful life-span transition programs. A few decades ago the society faced disturbing outcome data of the students with disabilities (Repetto, 1995, p. 128) and fully realized that due to little concern given to vocational and transition programs for these students the latter experienced increased school dropout and unemployment rates as statistics showed. Those students have often graduated from the school lacking the skills essential to live or function autonomously in the community, and often failing to find and keep job (Levinson, 1998, p. 29). It is evident such state of things has been costly for both financial and personal considerations. On the one hand, the society was to provide social security for these persons, and on the other hand, the person himself was not satisfied with job career and own dependence. The necessity to change this state of affairs has led to growing concentration upon enhancing transition services for the persons with disabilities within the past one and a half decade. Three factors contributed to this process: adoption of federal legislation supporting and promoting transition services; availability of state, federal, and local funds invested in their development (Shapiro Rich, 1999, p.51); and a number of scientific and empirical studies on effective transition practices (Kohler Field, 2003, p. 174). The purpose of this study is to explore how life-span transition services can ensure smooth integration of the special needs students into the community and provide them with the skills sufficient for successful career development. Toward this end we will scrutinize prevailing approaches to transition services, discuss their advantages and shortcomings; analyze the components making transition programs implementation successful; and make the conclusions as to the ways of these programs improvement. Definition of Transition Services Transition services were defined in by the law as: A coordinated set of activities for a student, designed with an outcome-oriented process, which promotes movement from school to post-school activities, including post-secondary education, vocational training, integrated employment (including supported employment), continuing and adult education, adult services, independent living, or community participation. The coordinated set of activities shall be based on the individual students needs, taking into account the students preferences and interests, and shall include instruction, community experiences, the development of employment, and other post-school adult living objectives, and, when appropriate, acquisition of daily living skills and functional vocational evaluation (P.L. 101-476, pp. 1103-1104). Thus, transition services, mandated by legislation, reflect the major performance areas that are typically addressed by transition services: work or education, independent living including activities of daily living, and community participation, which may include community mobility and transportation, access to community services and activities, recreation and leisure, and socialization and relationships. This definition distinctly implies that transition services should involve a diversity of school and community staff. It also assumes that they have to contain the parents of the children and the children themselves (Shapiro Rich, 1999, p. 132). Besides, the definition entails that a transition program is an outcome-oriented, well-planned and methodical process to be launched long before the student is graduating from school (Levinson, 1998, p. 2) to achieve its goals. Legislative Background of Transition Services As it was mentioned above one of the main factors promoting transition services prevalence was adoption of supporting federal legislation and availability of state, federal, and local funds invested in their development. Since the 1970s the United States Congress has passed several legislative acts that have directly affected the availability and use of transition services for the individuals with disabilities. Since the passage of Public Law 94-142, The Education for All Handicapped Children Act of 1975 (EHA), special education and related services have been made available through the public education system to the nations children and youth who have disabilities (Levinson, 1998, p. 27). The Rehabilitation Act, which was first introduced in 1973 and then rewritten in 1986 (Public Law 99-506), stipulates for provision of transition services to individuals with disabilities to (1) have greater control over their lives; (2) participate in home, school, and work environments; (3) interact with peers who do not have disabilities; and (4) otherwise do acts taken for granted by individuals without any known disability (Repetto, 1995, p. 127). The EHA and its subsequent amendments (Individuals with Disabilities Education Act (IDEA), 1990, 1997) guaranteed the provision of transition services as required to provide free and appropriate education for all children with disabilities (Benz, Lindstrom Yovanoff, 2000, p. 509). An appropriate education is one in which children with disabilities acquire, to the maximum extent possible, the skills, knowledge, and behaviors that will ultimately help them function successfully as adults. After initial passage of the EHA, several major benefits were realized: Formal mechanisms were established to identify and bring children with disabilities into the public education process. Parents and guardians were identified as essential members of the educational team and were provided with legal rights related to their childs education. All identified children were provided with Individualized Education Programs (IEPs) developed by an educational team that included the students parents or guardians (Shapiro Rich, 1999, p. 131). The 1997 amendments to IDEA continued to emphasize the use of transition services to enable the success of students with disabilities in their educational and school-to-career programs. These legislative acts have improved the access to transition services by children with disabilities (Levinson, 1998, p. 29). Moreover, through the Tech Act (Public Law 100-407), states have established resource centers and information systems for consumers of transition services. The goals of this legislation are to foster interagency cooperation, develop flexible and effective funding strategies, and promote access to transition services for individuals with disabilities throughout their life spans (Johnson et al., 2002, p. 520). The Goal of Transition Services – Life-Span Assistance for the Student’s Empowerment Such well-founded legislation on transition services paved the way for their wide spread implementation all over the nation, successful realization and continuous enhancement of the delivered services. From the definition of transition services it is clear they require â€Å"an outcome-oriented approach that looks at future vocational placements, residential options, funding sources, and community resources† (Nuehring Sitlington, 2003, p. 23). A number of studies examined the practical ways of applying this approach. In particular, Wehman Revell (1997) found the following: Transition for any student with a disability involves several key components, including: (1) an appropriate school program; (2) formalized plans involving parents and the entire array of community agencies that are responsible for providing services; and (3) multiple, quality options for gainful employment and meaningful post-school education and community living. (p. 67). All these components in combination are assigned to promote the smooth movement of young children with disabilities from a preschool program to a kindergarten class and into a school setting, and further the movement of young adults from one grade of the secondary school to the next and to post-school activities.   Thus, the special needs children may spend from 12 to 18 years getting the certain form of transition services (Spencer 2001, p. 893) which Donald Super in his theory of career development called â€Å"life-span and life-space transition† (Szymanski, 1994, p. 402). Many scholars agree that early childhood influences are the crucial determinants of later professional behavior (Turner Szymanski, 1990, p. 20). Reflecting this concept, IDEA 1997 while not requiring the local education agency to consider transition activities and sites for students with disabilities before the students 14th birthday, does require that services be provided earlier if the IEP team feels such is appropriate (Daugherty, 2001, p. 45). Therefore, families and educators should consider the child’s abilities, interests, and opportunities for community-based activities and kindergarten- or home-based special education while the child is in pre-school years and in elementary school. Doing so should help the child to develop skills and interests for maintaining that activity later in life (Levinson, 1998, p. 10). Research indicates that such early involvement of the child with special needs into transition programs improves and enhances self-concept, competence, and social skills of him/her (Szymanski, 1994, p. 403). The very important thing here is that professionals and families should recognize that families play an integral role especially in early year’s transition planning (Scott Baldwin, 2005, p. 173). The scholars suggested a number of guidelines for such planning: transition should be viewed within a larger context of community inclusion and participation; transition should be family- and individual-directed; families should be educated and empowered to acquire and assist in the creation of appropriate inclusive services and supports; transition should be embedded in elementary and secondary curriculum reform; the process required to create the Individualized Transition Plan (ITP) should not distract families; to achieve the most satisfactory result for their children, families should provide basic support to one another (Levinson, 1998, p. 3). As to the instruction the basic academic skills in reading, writing, and computation is usually emphasized at the elementary school level, but some elements of them are being taught as early as during pre-school years (Repetto, 1995, p. 125). When structuring instruction, educators sequence skills properly. Each skill is taught in sequence, and only when mastery of one skill is attained the next skill should be introduced. This is particularly important with skills that are dependent upon each other (Levinson, 1998, p. 91). Indeed, it may be difficult for some families to focus on post-school transition needs when their child is just in the kindergarten. If this is the case, professionals should take care not to overwhelm families with transition planning. Professionals should appropriately explain the importance of developing skills and interests in mental and physical activity while the child is young in order to maximize current and future involvement in various activities offered through the school and community. Such explanations, among other advantages, allow to prevent secondary disabilities, to help the child to socialize and get the necessary social skills as early as in childhood (Scott Baldwin, 2005, p. 174). Research proved that it is never too early to begin planning for transition to family- and community-based transition programs. Good planning always includes identification of the childs abilities and the childs and familys interests and goals for education considering their cultural beliefs and values. Such transition plan for the pre-school or elementary student remains flexible, because the childs abilities may change and/or the childs or familys interests and resources may change (Benz, Lindstrom Yovanoff, 2000, p. 512). General education and special education teachers are in the best position to encourage parents of pre-school and elementary school children to facilitate the transition planning. Studies show that children who are participants of transition programs from the early years have a better chance of becoming socially active, intelligent, competent and healthy adults (Carter Wehby 2003, p. 450). Moving from the kindergarten and elementary school to the secondary school implies the new challenges for the students of special education. Scholars defined what secondary transition practices are contributing to the future children retention and success when they enter high school and further get job. These are: direct, individualized tutoring and support to complete homework assignments, attend class, and stay focused on school; 2. participation in vocational education classes during the last 2 years of high school, especially classes that offer occupationally specific instruction; 3. participation in paid work experience in the community during the last 2 years of high school; 4. competence in functional academic [†¦] and transition [†¦] skills; 5. participation in a transition planning process that promotes self-determination; 6. direct assistance to understand and connect with resources related to post-school goals [†¦]; 7. graduation from high school. (Benz et al., 2004, p. 39). Such comprehensive list of factors evidently testifies that due to recent standards-based secondary school reform the requirements to academic performance raised substantially. Accepting this challenge special education teachers have worked hard to make sure that the special needs students are involved in these general reform efforts (Benz, Lindstrom Yovanoff, 2000, p. 511). They developed adoptive methods helping to ease the process of learning. For instance, when the student has difficulty in learning needed skills combined with incapacity to readily transfer or generalize learning to new environments or situations, they provide education in the actual environments that the student will be using, which allows for explicit teaching to the real-life demands of a particular environment and eliminates the need for the student to transfer skills (Spencer 2001, p. 884). At this all it is significant that emphasizing of an environmental curriculum on preparing the students of secondary school to functionate in main life domains (domestic, school, community, leisure, and vocational), efficient transition practices demand continuous assessment of the extent and quality of performance in each domain (Turner Szymanski, 1990, p. 22). Modern science in the sphere of special education developed several methodologies which allow achieving high academic performance by the secondary school students with disabilities. They include direct instruction, meta-cognitive reading comprehension strategies, peer-mediated instruction and interventions, and social skills training (Conderman Katsiyannis, 2002, p. 169). One of the important issues in secondary school transition services is inclusion of the students with disabilities in the general curriculum. Federal legislation gives the clear mandate for educating all children with disabilities in the regular classroom to the maximum extent appropriate or possible (Daugherty, 2001, p. 48). The inclusion of students who have disabilities in typical educational activities and environments is believed to promote student performance, offer rich opportunities for learning, provide age-appropriate role modeling, increase awareness among all students of diverse learning styles and abilities, and provide opportunities for relationship building that is so important especially during adolescent development (Scott Baldwin, 2005, p. 175). Age-appropriate placement does not mean that students with disabilities are simply placed in a typical class or at a community job site. Appropriate support services and resources that facilitate the students full inclusion and maximum participation in the environment must accompany these placements. Thus, IDEA recognizes that a students successful transition from school to adult life requires opportunities to learn and to practice skills in a variety of relevant school and non-school learning environments. These environments may include the classroom, school lunchroom, home, public transit bus, work site, community recreation facility, and a variety of other relevant settings (Daugherty, 2001, p. 49). But here a danger exists that content instruction could impede the goals of inclusion education. As more special needs students are included in general education curriculum, they often need supplementary assistance from the special education teacher to do class and home assignments, to review the learned material, and to prepare for the exams which sometimes is given by these teachers when their students pass the tests, for example. The pressure on special educators to provide academic progress of their wards could make more harm than good for them. Passing grades in school progress record sometimes do not mean quality of the student’s knowledge and skills (Conderman Katsiyannis, 2002, p. 170). Although the general education curriculum contains both academic (e.g., math, science) and nonacademic (e.g., career education, arts, citizenship) domains, student performance is assessed primarily in academics. As a result, it is not uncommon for portions of the general curriculum as well as transition goals to receive limited or no attention. There also may result a narrowing of curriculum and instruction to focus on content assessed in state or local tests. This may limit the range of program options for students due to intensified efforts to concentrate on areas of weakness identified by testing. Efforts must be undertaken to ensure that students with disabilities remain on a full curriculum track, with learning expectations that guide the instruction of general education students. IEP teams must work to ensure that high expectations are maintained and students are afforded opportunities to develop skills through a wide range of curriculum options, including vocational education, service learning, community work experience, and adult living skills (Repetto Correa, 1996, p. 553). The present challenge is to integrate the IDEA requirements concerning access to the general education curriculum with the transition service provisions. There is an urgent need to view these requirements as unified and complementary in helping students to achieve the broadest possible range of school and post-school goals and results. Strategies for accomplishing this include promoting high expectations for student achievement and learning, making appropriate use of assessment and instructional accommodations, and ensuring that students have access to the full range of secondary education curricula and programs (Benz et al., 2004, p. 41). Another important issue, especially concerning the students with mild disabilities, is availability of continuous instruction of basic skills within the curriculum at the middle school and high school levels. Those skills need to be taught within the context of real-life applications (Spencer 2001, p. 881). That is, in elementary school, students are taught to add, subtract etc. using worksheets and other materials but are rarely given the opportunity to apply those skills to balancing a checkbook or determining whether they have received the correct change during a purchase. Additionally, in elementary school little opportunity is provided to apply those skills to vocationally or occupationally relevant activities. Although to make a successful transition from high school to work, college, or community living, students need to possess basic academic skills in reading, writing, and computation, at both the middle school and high school level students need to be provided with continuing opportunities to practice those basic skills in real-life situations (Conderman Katsiyannis, 2002, p. 172). At the same time after the students with disabilities graduated from the school they are still eligible for the transition services. At this stage namely the student is a person who defines which areas are given emphasis. For instance, the student with learning disabilities planning to enter the college may not need to be provided with extensive vocational and occupational training in high school but may need to focus on the development of academic skills specific to admission to and success in college, and life skills specific to making a successful adjustment from high school to college. In contrast, the student with severe cognitive and physical disabilities may need to focus on vocational and occupational functioning and basic life skills necessary for independent living (Repetto, 1996, p. 553). Besides, several other factors have an effect on the design of the vocational syllabus. Local conditions often define the studens’ plans for the future such as urban or rural district, the peculiarities of local economy and labor market, the rate of employment, the personal traits of the student himself and the type of his/her disability, and indeed availability of transition services. The vocational syllabus has to be designed in such a way to prepare the students with disabilities for jobs in demand on local labor market, because as a rule such students do not leave their communities trying to find job (Levinson, 1998, p. 88). When we consider post-secondary transition services for the college-bound students it is important to pay attention to the differences between high school and college requirements, such as time spent in class, class size, time for study, testing approaches, grading methods, teaching strategies, and freedom and independence. They all pose additional challenges for students with disabilities who are making the transition from high school to college. Discussing those differences and assessing student practices are important for students survival and adaptation. When evaluating post-secondary options, the students need to assess the amount and type of learning disabilities support services they require to be successful (Shapiro Rich, 1999, p. 171). Assisting the students with special needs to cope with the new challenges most post-secondary educational settings have programs for such individuals that provide the necessary support for them. These institutions often have an Office for Students with Disabilities that employs counselors and tutors and that provides a wide array of services for all students with disabilities. For instance, structural accommodations such as ramps and elevators exist to accommodate students with physical disabilities. Large-print and Braille textbooks exist for students with visual impairments. Students with hearing impairments can be provided with prepared lecture notes (Levinson, 1998, p. 152). In addition, modifications in test-taking procedures, tutoring, and academic and personal counseling are available for the special needs students. Given the array of services available, post-secondary educational settings are now an appropriate option for many students with disabilities whose occupational aspirations require advanced formal education (Benz, Lindstrom Yovanoff, 2000, p. 513). Numerous methods are available to provide individuals with the additional post-secondary training they need in order to acquire the skills and credentials necessary for entry into their chosen occupations (Benz, Lindstrom Yovanoff, 2000, p. 510). In addition to the vocational training and work experience programs offered by most school districts, individuals with disabilities may gain additional training after high school via apprenticeship programs, the military, trade and technical schools, community colleges and junior colleges, and four-year colleges and universities. All offer programs that may be suitable post-secondary options for the students with disabilities (Johnson et al., 2002, p. 522). In general, the legislation includes the following in its description of post-school activities: post-secondary education, vocational training, integrated employment (including supported employment), continuing and adult education, adult services, independent living, and community participation. Clearly, then, transition is meant to address not just employment needs, but future needs within the broader focus of life within the community (Repetto, 1995, p. 130). In any case, to the maximum extent possible, the individuals with disabilities should be placed in the least restrictive environment and in settings that facilitate the normalization process. Delivering transition services from high school to work-force, transition personnel should attempt to ensure that a full range of placement options exist for the individuals with whom they work. This often necessitates that transition personnel market individuals with disabilities to employers, neighbors, or admission personnel and conduct public relations campaigns on behalf of their clients. Because many people have unrealistic and faulty expectations and perceptions of individuals with disabilities, transition personnel also have to educate the public about disability issues and have to work hard to overcome the public resistance that so often accompanies the placement of those individuals in occupational, residential, and educational settings (Johnson et al., 2002, p.   520). Both scholars and special educators recognize the importance of specific career development skills to a students success in the workforce. Learning how to search for job openings, write a CV, establish and prepare for an interview, understand the relationship between employer and employee, and be knowledgeable as to the rights of workers are all important areas to address. Additionally, successful transition programs address work ethics, work habits, and motivation issues as well. For instance, the students with disabilities would greatly benefit from preparation regarding employers expectations in terms of work habits. For instance, they should learn the importance of taking responsibility for calling in if they were unable to be at work. Very often these major work habits and ethics are missing from the students skills. Besides, students with disabilities are excessively sheltered and are often not compelled to take responsibility for their own actions while responsibility is crucial for getting and keeping employment (Nuehring Sitlington, 2003, p. 28). Conclusion In summary, the study showed that the transition process is in fact a part of the broader process of career development. Moreover, transition is about societal empowerment not only of the individuals with disabilities, but of all of us. Our communities and our society will be enriched and empowered when all citizens, including those with disabilities, are valued and seen as contributing members. The challenge of transition professionals is to facilitate that empowerment through appropriate transition services that empower individuals and their families and through the actions as community catalysts who work in a respectful partnership with people with disabilities. The conducted study clearly demonstrated the concept of transition-focused education represents a shift from disability-focused, deficit-driven programs to an education and service-delivery approach based on abilities, options, and self-determination. This approach incorporates quality-of-life issues, life span and life space considerations, and suggestions for seamless transition approaches together with the key elements – outcome-oriented, community-based, student-centered, and family-centered transition services. At the same time the study proved that there is no one fitting all transition planning strategy able to effectively prepare students with disabilities who all have unique needs for successful, fulfilling adult roles. Only through continued attention to establishing effective transition services flexible enough to meet individual student needs, the society can arm students with information and opportunities on which they can build their futures. Thus, the society has to bend every effort to ensure that students with disabilities fully access and benefit from the general education curriculum, and leave our school systems prepared to successfully participate in post-secondary education, enter meaningful employment, live independently in communities, and pursue lifelong learning opportunities.       References Benz, M. R., Lindstrom, L., Yovanoff, P. (2000). Improving Graduation and Employment Outcomes of Students with Disabilities: Predictive Factors and Student Perspectives. Exceptional Children, 66, 509-516. Benz , M. R., Lindstrom, L., Unruh, D., Waintrup, M. (2004). Sustaining Secondary Transition Programs in Local Schools. Remedial and Special Education, 25, 39-44. Carter, E. W., Wehby, J. H. (2003). Job Performance of Transition-Age Youth with Emotional and Behavioral Disorders. Exceptional Children, 69, 449-458. Conderman, G., Katsiyannis, A. (2002). Instructional Issues and Practices in Secondary Special Education. Remedial and Special Education, 23, 169-176. Daugherty, R. F. (2001). Special Education: A Summary of Legal Requirements, Terms, and Trends. Westport, CT: Bergin Garvey. Individuals with Disabilities Education Act Amendments of 1990 (Public Law 101-476). 20 U.S.C., 1400. Johnson, D. R., Stodden, R. A., Emanuel, E. J., Luecking, R., Mack, M. (2002). Current Challenges Facing Secondary Education and Transition Services: What Research Tells US. Exceptional Children, 68, 519-527. Kohler, P. D., Field, S. (2003). Transition-Focused Education: Foundation for the Future. Journal of Special Education, 37, 174-186. Levinson, E. M. (1998). Transition: Facilitating the Post-School Adjustment of Students with Disabilities. Boulder, CO: Westview Press. Place of Publication:. Publication Year:. Nuehring, M. L., Sitlington, P. L. (2003). Transition as a Vehicle: Moving from High School to an Adult Vocational Service Provider. Journal of Disability Policy Studies, 14, 23-34. Repetto, J. B. (1995). Curriculum Beyond School Walls: Implications of Transition Education. Peabody Journal of Education, 70, 125-140. Repetto, J. B., Correa, V. I. (1996). Expanding Views on Transition. Exceptional Children, 62, 551-557. Scott, J., Baldwin, W. L. (2005). The Challenge of Early Intensive Intervention. In   D. Zager (Ed.), Autism Spectrum Disorders: Identification, Education, and Treatment (pp. 173-228). Mahwah, NJ: Lawrence Erlbaum Associates. Shapiro, J., Rich, R. (1999). Facing Learning Disabilities in the Adult Years. New York: Oxford University Press. Spencer, K. C. (2001). Transition Services: From School to Adult Life. In J. Case-Smith (Ed.),   Occupational Therapy for Children (pp. 878-894). St. Louis, MO: Mosby. Szymanski, E. M. (1994). Transition: Life-Span and Life-Space Considerations for Empowerment. Exceptional Children, 60, 402-407. Turner, K. D., Szymanski, E. M. (1990). Work Adjustment of People with Congenital Disabilities: A Longitudinal Perspective from Birth to Adulthood. The Journal of Rehabilitation,   56.3, 19-26. Wehman, P., Revell, W. G. (1997). Transition into Supported Employment for Young Adults with Severe Disabilities: Current Practices and Future Directions. Journal of Vocational Rehabilitation, 8, 65-74.

Wednesday, August 21, 2019

Overview of Leadership Personality Theories

Overview of Leadership Personality Theories CHAPTER I INTRODUCTION â€Å"The study of leadership rivals in age the emergence of civilization, which shaped its leaders as much as it was shaped by them. From its infancy, the study of history has been the study of leaders—what they did and why they did it† (Bass, 1990). According to Keith Davis (1967), â€Å"Leadership is the ability to persuade others to seek defined objectives enthusiastically. It is the human factor which binds a group together and motivates it towards goals†. Barnard in 1938, defined leadership as, â€Å"The ability of a superior to influence the behavior of subordinates and persuade them to follow a particular course of action†. Leadership has a range of definitions but at its simplest it is concerned with the ability to influence others to accomplish goals. The concept of leadership, and the study of the phenomenon, has its roots in the beginning of civilization. Various work-related variables such as work environment, worker motivations, leaders, managers, leadership style, have been the subject of study for almost two centuries. (Gregory Stone, Kathleen Patterson, 2005). The organizational focus of the leader emerged over this period, from organizations operating with an authoritarian style to ones that operate with a more comfortable work environment. Today, organizations are in a transit stage of empowering, encouraging and supporting personnel in their personal and professional growth throughout their careers. The focus of leaders has changed over time, which has influenced and shaped the development and progression of leadership theory (Gregory Stone, Kathleen Patterson, 2005). Researchers have examined leadership skills from a variety of perspectives. Early analyses of leadership from the 1900s to the 1950s focused on identifying the differences between the characteristics of a leader viz. a viz. a follower. Study findings suggested that no single trait or combination of traits fully explained the abilities of a leader. Later studies, examined the influence of the situation on leaders skills and behaviors. Subsequent leadership studies attempted to distinguish effective from non-effective leaders. These studies attempted to determine which leadership behaviors were exemplified by effective leaders. Leadership studies of the 1970s and 1980s once again focused on the individual characteristics of leaders which influence their effectiveness and the success of their organizations. The investigations led to the conclusion that leaders and leadership are critical but complex components of organizations. Leadership is necessary for a variety of reasons. On a supervisory level, leadership is required to complement organizational systems (Katz Kahn, 1978) and to enhance subordinate motivation, effectiveness and satisfaction (Bass, 1990). At the strategic level, leadership is necessary to ensure the coordinated functioning of the organization as it interacts with a dynamic external environment (Katz Kahn, 1978). Thus leadership is required to direct and guide organizational and human resources toward the strategic objectives of the organization and ensure that organizational functions are aligned with the external environment (Zaccaro, 2001). Research on leadership has been divided into 8 major schools (John Antonakis, Anna T. Cianciolo, Robert J. Sternberg, 2004): Trait School of Leadership (1900s) Behavioral School of Leadership (1910s) Contingency School of Leadership (1960s) Contextual School of Leadership (1960s) Skeptics (1970s) Relational (1970s) New Leadership (1970s) Information Processing (1980s) The trait movement gave way to the behavioral styles of leadership in the 1950s. This line of research focused on the behaviors that leaders enacted and how they treated followers. The well-known University of Michigan (Katz, Maccoby, Gurin, Floor, 1951) and Ohio State (Stogdill Coons, 1957) studies identified two dimensions of leadership generally referred to as consideration (i.e., employee-oriented leadership) and initiating structure (i.e., production-oriented leadership). Leader behaviors are often discussed in terms of whether the behavior is oriented toward (a) task processes, (b) relational dynamics, or (c) change. One consistent theme in the literature is that behaviors can be fit into four categories: task-oriented behaviors, relational-oriented behaviors, change-oriented behaviors, and what we refer to as passive leadership. Initiating structure represents task-oriented behaviors. It describes behaviors such as defining task roles and role relationships among group members, coordinating group members’ actions, determining standards of task performance, and ensuring group members perform up to those standards. They describe leaders as being clear about expectations and standards for performance, and using these standards to shape follower commitment, motivation, and behavior. Moreover, initiating structure discusses dealing with deviations from those standards via the use of structure and routines. Relative to initiating structure, consideration leader behaviors describe more relational-oriented behaviors. In particular, leaders high on consideration show concern and respect for individual group members, are friendly and approachable, are open to input from others, and treat all group members as equals (Bass, 1990). A common theme among relational-oriented behaviors is that the leader acts in ways that build follower respect and encourage followers to focus on the welfare of the group. It should be noted that certain aspects of transformational leader behaviors (e.g., individualized consideration) also consist of a relational orientation, which is a point that will be revisited later in the manuscript. Leader behaviors oriented toward facilitating and driving change in groups and organizations represent a third category of leader behaviors that is conceptually distinct from task and relational-oriented behaviors. According to Yukl et al. (2002), change-oriented leader behaviors encompass actions such as developing and communicating a vision for change, encouraging innovative thinking, and risk-taking The present study deals with two dimensions of Leader Behavior, Initiating Structure and Consideration Structure. â€Å"Initiating Structure reflects to the extent to which an individual is likely to define and structure his role and those of his subordinates toward goal attainment† (Fleishman Peters, 1962). It refers to the leader’s behavior in endeavoring to establish well-defined patterns of organization, channels of communication, and methods of procedure. Initiating structure refers to getting the job done. The individual who exhibits behavior highly oriented toward initiating structure is one who sees or recognizes the job to be done and more to accomplish it. This individual is task-oriented. He strives to fulfill the purposes of the organization, often at the expense of others concerned. Initiating structure reflects behavior which: Emphasizes the quality of work. Clarifies everyone’s responsibilities. Is continually planning to get everything done. Offers new approaches to problems. Is first in getting things started. Encourages the meeting of deadlines. â€Å"Consideration Structure reflects the extent to which an individual is likely to have job relationships characterized by mutual trust, respect for subordinates’ ideas, and consideration of their feelings† (Fleishman Peters, 1962). It refers to behavior indicative of friendship, mutual trust, respect and warmth in the relationship between leader and members of his staff. Consideration reflects concern for individuals in a group and their feelings. The individual exhibiting behavior highly oriented to consideration, tries to maintain close understanding between members of a group. This person is more concerned with group cohesiveness than with accomplishing specific purposes. Consideration is reflected by a person when he: Finds time to listen to others. Does little things to make it pleasant to work with him. Shows interest in others as persons. Compliments others for their work. Has an open ear. Has others share in making decisions. A combination of both initiation structure and consideration structure is the most productive type of leader behavior. A study conducted by Bruce M. Fisher and Jack E. Edwards, on ‘Consideration and Initiating Structure and their relationships with Leader Effectiveness† suggested that situations play a major role in determining the best suitable leader behavior. Leaders play a very important role in the formation and functioning of teams. Henderson and Walkinshaw (2002), defined the effectiveness of a team as, â€Å"The accomplishment of a desired result, especially as viewed after the fact† and the measure of effectiveness as â€Å"The extent to which a team meets the demands which are placed upon†. Work teams in organizations have three features. First, they are real groups – intact social systems, complete with boundaries, interdependence among members, and differentiated member roes (Alderfer, 1977). Second they have one or more group tasks to perform, producing some outcome for which members bear collective responsibility and whose acceptability potentially can be assessed. Finally such teams operate in organizational context. This means that the group, as a collective, manages its relations with other individuals or groups in the larger social system in which it operates. To perform well, a team must surmount three hurdles. It must: (1) exert sufficient effort to get the task accomplished at an acceptable level of performance; (2) bring adequate knowledge and skill to bear on the work; and (3) employ task performance strategies that are appropriate to the work and to the setting in which it is being performed (Hackman and Morris, 1975). Teams are formed for the express purpose of accomplishing critically important goals. Its formation does not automatically lead to performance. In fact, without significant and ongoing nurturing by the leadership of an organization, teams can actually make things worse. It is helpful to understand the building blocks required for a team’s success. Robbins and Judge (2012) describe a three dimensional model that articulates its foundation. Dimension 1 relates to the importance of Context. Organizations need to support the construction and sustainability of a team, and the team itself requires an environment of comfort for its members; psychological safety is essential so members can feel free to speak up and engage without ridicule. Performance feedback and motivational systems must also be in place. Dimension 2 suggests Composition is vital. In addition to knowledge, skills and abilities (KSAs) of its membership, the leader needs to focus on the peoples components as well Dimension 3 reveals Process is important. Teams must have clear purpose and specific goals. It is hard to motivate without all members having a clear idea of the direction the unit is heading. In addition, mechanisms and agreements must be in place to deal with conflicts that arise and/or the members who are not â€Å"getting it done† Since teams are a dominant feature in organizations, its effectiveness is paramount to the success of the business. To that end, leaders must understand the dimensions that make a team successful and then work diligently to make it happen. In addition, when teams derail, mechanisms must be in place to bring it back to life; it is the responsibility of the leaders’ to make it happen.

Tuesday, August 20, 2019

Effectiveness of Aromatherapy for Depression and Stress

Effectiveness of Aromatherapy for Depression and Stress CHAPTER FIVE: DISCUSSION Introduction In chapter five, major finding of the study was discussed, testing of hypothesis followed by examination of the data addressing the research question. In addition, the strengths and weakness of the study was explored. Next the implication of the study is presented followed by recommendations for future research and limitations faced as the study being conducted. 5.1 Overview of the study The study was designed to examine the effectiveness of aromatherapy inhalation for 7 days in reducing depression, anxiety and stress during clinical practice among first year UiTM Nursing students. Numerous research studies have highlighted the relationship between effect of depression, anxiety and stress on nursing student during clinical practice. At the beginning of clinical practice period, the researcher introduced the study objective and informed consent process to the first year nursing student of the Universiti Teknologi Mara (UiTM) Puncak Alam. Students who were interested in participating signing an informed consent form. A total of 42 students signed the informed consent and had an opportunity to ask question during initial meeting. Participants completed the DASS questionnaire (pretest) and were selected into two groups from convenient sampling. As a result, 20 participants in experimental group and 22 in the control group for purposes of data analysis. 5.2 Baseline characteristic of participants The sample population of this study was composed of first year nursing student from diploma program in UiTM Puncak Alam from both genders who free from taking any relaxation medication. The study groups were homogenous with respect this characteristics, so influenced of these aspect can be generalized for all the nursing students who were evaluated (p = 0.175, p = 0.716). Summary of the result Objective number 1 To determine the baseline level of anxiety score in experimental and control group. The baseline mean score for depression, anxiety and stress in the control group was 16.14Â ±2.765, 13.32Â ±6.658 and 20.36Â ±2.341 respectively and the baseline mean score for depression, anxiety and stress in the experimental group was 15.25Â ±2.359, 13.20Â ±5.917 and 21.65Â ±2.183. An independent t-test at the 95% confidence interval and .05 level of significance was computed to compare the average depression, anxiety and stress score between both groups, and it was concluded that the sampling process effectively produced equivalent groups with respect to depression, anxiety and stress score at baseline, t =-1.112, p = 0.27, t = -0.61, p = 0.952, t = 1.836, p = 0.074. This indicated that the levels of DAS in the two groups were the same at the beginning. 5.3 Baseline DAS score in both group In this study, for baseline score, both groups was had a moderate level of depression, anxiety and stress (DAS). Possible explanation for the higher prevalence of baseline DAS score among this study population could be due to preparation for practice require more than developing skills in the on campus lab. It entails developing an ability to provide safe and effective care to other human beings in various clinical settings. This components of developing expertise as a student nurse can be very stressful to nursing students and create anxiety. In health professional education, the clinical perspective is identified as fundamental field for students to learn about practice in the ‘actual’ world (Egan Jaye, 2009). Prior to the education of health professionals, in particular nurses, has switched from an apprentice-based training model where the regular practice of task and activities are highlighted, to university-based preparation that educated student to understand situation and pursue and wisely use evidence in practice. (Henderson, Cooke, Creedy Walker, 2012) The clinical practicum is a significant and essential element of any undergraduate nursing degree. Experiences during clinical placement are effective in shaping student attitudes to learning, practice and professional development (Henderson, Cooke, Creedy Walker, 2012). High levels of anxiety can affect student’s learning, performance (Sharif Armitage, 2004; Moscaritolo, 2009) and in some cases retention within a nursing program (Moscaritolo, 2009). According to Melincavage (2011), students likely to experience anxiety when in any new learning experience and while evolve from novice to expert. According to Burnad et al. (2008) and Pulido-Martos et al. (2012) they found that witnessing the death of patient, relationship between student and mentor and/or staff, providing care, lack of knowledge and skills, practical and assignment are common clinical stressors among nursing student. Furthermore, nursing student at both novice and experienced level believed that clinical stressor more stressful that academic and external one (related to daily life) and generate more psychosocial responses such as anxiety, cognitive symptoms and depression (Blomberg, 2014). However, previously recognized clinical stress factor are lack of knowledge and professional ability, lack of understanding with history and medical terms, heavy workload, being in an unfamiliar situation, mistakes with patients or handling of technical instruments (Basso Mussoetal.,2008; Chanetal.,2009; Jimenezetal.,2010). This factor might be more frequent in hospital settings. This could clarify why student more likely t o experience stress during clinical placement in hospital (Blomberg, 2014). A study conducted by Goff (2011) found that nursing students has been long perceived by nursing department and students to experience higher levels of stress than other college student. Nursing student believed that they have little leisure time because they needed to study, with assignments and clinical task (Reeve, Shumaker, Yearwood, Riley Crowell, 2013). Shriver and Scott-Stiles (2000) found another leading factor to high level of stress is that clinical task demanded nursing student to spend substantial time away from campus and also require them to be responsible for the well being of patients In the other word, these activities take off student from normal social development of their friends (Reeve, Shumaker, Yearwood, Riley Crowell, 2013). According to Melincavage (2011), students likely to experience anxiety when in any new learning experience and while evolve from novice to expert. Objective number 2 To compare mean of post depression, anxiety and stress score level between intervention and control group. The H1o was: There is no difference in level of depression, anxiety and stress score between intervention and control group. An independent t-test at the .05 significance level was computed to compare mean of post depression, anxiety and stress score level between intervention and control group. There was a statistically significant difference in the mean of post depression, anxiety and stress score, t = -2.072, p = 0.045, t = -2.625, p = 0.012, t = -3.232, p = 0.002 respectively. The null hypothesis was rejected. It was concluded that there is a significant difference in level of depression, anxiety and stress score between those students who did not received aromatherapy and those student who received aromatherapy after the intervention. Both group showed a decreasing in mean score of DAS after the intervention. However, aromatherapy group significantly lower than control group. In the other word aromatherapy was effectively reduced level of DAS in the experimental group after seven day of inhalation. However, although being exposed to water, mean score of control group also show a reduction in posttest compare to pretest. But, it was not significant as aromatherapy group. Objective no 3 To examine the mean of depression, anxiety and stress score in intervention and control group before and after introducing the intervention. A paired t-test at the 95% confidence interval and .05 significance level was computed to examine mean of depression, anxiety and stress score in experimental and control group before and after introducing the intervention. There was significant different in the mean score of DAS between pretest and posttest among student who received aromatherapy, t = 9.51, p = 0.00, t = 5.39, p = 0.00, t = 11.11, p = 0.00 respectively. The group of student who do not received aromatherapy also significant difference in the mean score of DAS between pretest and posttest t = 4.09, p = 0.001, t = 2.23, p = 0.037, t = 4.87, p = 0.000 respectively. However, mean score of depression and anxiety in the aromatherapy group significantly lower than the control group. 5.4 Reduction of DAS score In our study, intervention group who received aromatherapy inhalation for 7 days showed significance reduction of DAS score with p value 0.045, 0.012, 0.002. The null hypothesis of the study was rejected because there was a beneficial effects and statistically significant effect from aromatherapy in reducing depression, anxiety and stress score in the sample of nursing students. We accept alternative H1 and H2 since there is difference in level of DAS between intervention and control group and intervention group has showed a reduction in level of DAS after introducing the aromatherapy. Result from this study also supports previous research on effectiveness of aromatherapy (Johnson, 2013). This finding is similar to a study conducted among 110 nurses in the hospital. A small bottle containing 3% lavender oil was pinned on their clothes to examine the effectiveness of lavender oil to reduce stress related job among nurses. The study found that there is reduction of the number of stress symptoms for 3 to 4 days in the experimental group after aromatherapy was carried out (Chen, Fang Fang, 2013). Another consistent finding from a study by Yuen, Mei and Wing (2014) found that there was significant improvement in the reduction of stress level (p = 0.001) and the reduction of anxiety level (p = 0.044) when compared pre and post aromatherapy inhalation among nursing student in Hong Kong facing final examination. The result from this study similar to previous study conducted to determine the impact of aromatherapy on the anxiety level of patients experiencing coronary angiography. The study concluded that anxiety level decreased significantly in the intervention group compared with the control group after aromatherapy (P However, in this study, participant in control group showed a reduction in the level of DAS after the intervention. This result showed that nursing students seek for other intervention or coping method to overcome the depression, anxiety and stress during clinical practice. A study carried on baccalaureate nursing students in Jordan in their initial period of clinical practice found that needed support and guidance from clinical instructors helped to reduce stress and promote a positive clinical experience. Furthermore, nursing student applied the most common used of coping strategy in relieving stress such as a problem solving behavior followed by staying enthusiastic and conversion of attention from the stressful event to other things was of coping strategies ( Shaban, Khater Akhu-Zaheya, 2012). Other than that, another study carried out by Por, Barriball, Fitzpatrick and Roberts (2011) found another factor that relieving stress was emotional intelligence. Emotional intelligence was absolutely related to well-being (p 5.5 Recommendation The results of this pretest, posttest design study revealed that the effect of aromatherapy oil on depression, anxiety and stress among first year nursing students during clinical practice was statistically significant. Based on previous discussions in this chapter and the rationale for this study, future research is recommended in nursing education with large sample and close room to allow the aroma ventilated in the room. Other as this study has shown the effectiveness of aromatherapy in reducing depression, anxiety and stress among nursing student, this evidence based will be suggested to UiTM Nursing Department to apply this method to nursing student especially during attending clinical practice. Other than that, aromatherapy also can use for nursing student before attending exam especially objective structured clinical examination (OSCE). 5.6 Implication of the study The implication of the study are that, it can increase awareness to the nursing department about problem of nursing student during clinical practice and the negative effect toward nursing curricular. It also exposed and encourages the lecturer or staff in the nursing department on the utilization of the aromatherapy among nursing student. The finding of this study can provide a nursing student with stress coping method using aromatherapy. With the use of aromatherapy, student can focus on learning and perform procedure in the clinical area effectively and increasing the quality of patient care. Furthermore, aromatherapy is a safe, cost-effective, time appreciative intervention that can be implemented in nursing education. 5.7 Limitation The following limitations were identified during the administration and analysis of the current study to assess the effect of aromatherapy on depression, anxiety and stress among first year nursing students during clinical practice. The purpose of this section is to provide a critical assessment of the study’s limitations. The primary researcher did not have control over where the duration of inhalation during the intervention due to participants freely to stay in any room instead of their own room. As a result, the duration of inhalation may have contributed to the significance of pre and posttest in the control group. Participant in the control group may stay in the room of participant in experimental group. Thus, the participant was indirectly inhaled the aromatherapy oil. It would be beneficial to place the both group in different block of residential college. Summary In conclusion, the overall study’s findings were statistically and clinically significant in demonstrating that aromatherapy is able to reduce level of depression, anxiety and stress during clinical practice among first year nursing student. Theses results are similar to those study demonstrated by Johnson (2013) Chen, Fang Fang (2013) andYuen, Mei Wing (2014) with the aim to measure the effectiveness of aromatherapy in reducing depression stress and anxiety among nursing student and nursing staff. An extension of this study over a longer time period with a larger sample size and using Randomized Control Trial (RCT) design may provide better results in future studies. Conclusion This quasi-experimental study set out to examine the effectiveness of aromatherapy in reducing depression, anxiety and stress during clinical practice among first year nursing student. The result showed that such students perceived moderate level of depression, anxiety and stress prior to attending clinical placement in hospital. The purpose of reducing depression, anxiety and stress among nursing student is part of strategy to promote effective learning environment especially during attachment in hospital. Depression, anxiety and stress can hinder student’s self confidence to perform nursing care to patient. Other than that, it gives a bad impression toward nursing department as their student unable to show a competency during performs a procedure in the hospital. Since clinical practice is vital element in nursing education, students are believes to apply the basic nursing skills in the clinical areas that enable the application of theoretical knowledge to develop. However, if the students unable to relieve their depression, anxiety and stress, these objectives are unable to be achieve and give a loss to student and nursing department. Therefore, there is a need for nursing department to encourage student to utilize the evidence based-practice especially during attending clinical practice with recomm ended solution which is aromatherapy inhalation. The research gap has been addressed and the findings showed consistent with previous studies. Research question of this study has been answered and the study null hypothesis was rejected based on the data analysis. The overall finding showed that aromatherapy has a positive effect in reducing depression, anxiety and stress among nursing student. The finding identified pointed to rejection of study null hypothesis because the use of lavender aromatherapy significantly reduce the level of depression, anxiety and stress in nursing student compared to use of water. Hence, aromatherapy was proven as an effective coping strategy in this study in addition to others in the literature. This result supported previous studies on same setting and population (Johnson, 2013). It is critical for nursing student to overcome depression, anxiety and stress and aromatherapy can facilitate to relieve these problems. Although sample size in this study was small, there exists quantitative evidence that aromatherapy has a role to play in nursing curricular especially among students attending clinical area. The design and results of this study will hopefully inspired nursing researcher to explore the phenomenon of depression, anxiety and stress during clinical practice and create innovative practices to minimize it in the future. Nursing faculty must continue to create advanced method to facilitate success for student who experience depression, anxiety and stress The increasing diversity of nursing students in age, gender, and ethnicity will continue to grow in future years, and nursing faculty will require more expertise that addresses students holistically (Jeffreys, 2012).