Tuesday, October 8, 2019
Course journal Essay Example | Topics and Well Written Essays - 1000 words
Course journal - Essay Example The internet also allows us to do homework much more easily than we were in the past because there are many resources. We can complete all of our assignments in the comfort of our own home. Facebook has allowed me to connect with so many of my old friends. Malcolm Xs the Ballot or the Bullet speech was aweinspiring. The 1960s was an amazing time period with so much happening. Pop had reached records with bands like the Beatles and the Rolling Stones, John F Kennedy died after being elected, and the Civil Rights Movement concluded with a bang when Malcolm X gave his incredible speech. The people of the 1960s must have been feeling jerked around over and over again. I see the speech on video and think, how could something draw so many people and be so depressing at the same time. We have many followers of Malcolm X and many enemies witnessing his speech. I could not imagine how anyone would want to listen to something so detrimental to my future as a black person. Unfortunately, this is how things were done at that time. Incredible political history was witnessed and Malcolm X paved the way for so many changes for the black population to become what it is today, accepted and strong. Segregation was his philosophy because he knew that wh ites were not going to do anything about improving the situation if blended together. He also took on a more violent approach because he knew that no changes would be made unless some drastic measures were made. Malcolm was a pas sionate person with powerful words to convey an even more powerful message. No speech in history could compare to his speech because no movement was like the Civil Rights movement. I am not black but I could not imagine living in the society they live in dealing with the prejudice they deal with. It appeared to be a life that was so hard to deal with that I am surprised at how brave Malcolm and others like him were. It takes a very special person to
Monday, October 7, 2019
Medical in the Middle Ages Essay Example | Topics and Well Written Essays - 1000 words
Medical in the Middle Ages - Essay Example It was in Salerno, for example, that much work was done by academics and others, supported and sponsored by the Church, to articulate for a new age the traits of Hippocratic medicine as a tradition. It is the results of this and other contemporaneous work which exerted great influence on physicians, healers and other medical practitioners until as late as the 19th century (Porter 1998, p. 13).2 Opportunities for a medical education were scarce at the beginning of the High Middle Ages. So-called cathedral universities that offered medical education, such as that of Chartres in France, were an exception. One reason for this seems to be that, because universities during this period generally offered a broad education in the humanities that did not have as a specific objective a curriculum designed to produce professional physicians, the education one could expect differed substantially in nature and content from that which was developed in Salerno from the 11th century onwards (Nutton 1995, p.139). The earliest Salernitan texts used for teaching purposes were the product of many variables, such as the influence of Arab medical knowledge imported into southern Italy by Arab settlers who maintained contact with Byzantium and northern Africa, which combined to infuse a new and more speculative view into medieval medical thought (Nutton 1995, pp.140). Medical education and professional training in the Late Middle Ages was greatly influenced and accelerated by a narrowed focus on medical learning as a discipline, which was adopted by university educators from about 1250 onwards (Nutton 1995, pp. 142-159). One work in particular, Articella, revived interest in and pursuit of the Galenic medical tradition, which built on the earlier Hippocratic works, and for the first time gave university medical educators and practitioners a 'sacred text' by which a physician's professionalism and knowledge could be measured and benchmarked based on his expert comprehension, understanding and application of the series of books that comprised the contents of the Articella compendium (Nutton 1995, p. 142). By holding to an assumption that all disease stems from natural as opposed to supernatural causes, physicians and healers throughout the medieval period, following the Hippocratics who established the tradition long before them during the Hellenic period, appealed to human nature itself for specific natural causes. It is for this reason that the treatise in the Corpus that elaborates the main tenets of Hippocratic medicine most ardently and succinctly is On the Nature of Man (Jones 1923, Volume IV). Medieval medical practitioners, in adopting and using these ideas, sustained the essence of Hippocratic thought by seeking to explain the nature of the human body by direct observation of it followed by systematic analysis of this observation. Medieval physicians and other medical practitioners used the precepts presented in the Hippocratic treatise, On the Nature of Man, to treat their patients (Nutton 1995, pp. 175-183). It is in this text that the theory of the four humors is discussed in detail, relating that the human body is comprised of blood, phlegm, yellow bile, and black bile
Sunday, October 6, 2019
Case Analysis Presentation(climb the legal ladder) Essay
Case Analysis Presentation(climb the legal ladder) - Essay Example make comparisons related to their level of experience and period they have worked for the company in order to establish if there are any notable differences. Sullivan and Cromwellââ¬â¢s pay structure should motivate behaviours that can influence associates to put optimum performance in their operations given that they will get handsome rewards at the end of the year. The company should also motivate the associates to stay longer in the company. Retention of the associates is very important since it helps the company to retain talented people. 2. In case of associates who joined the firm four years ago, it is recommended that they also get a similar pay rise. Like any other firm, there are different grades for employees and they also have different salary scales. This should be maintained in the company in order to ensure that there are no conflicts that can arise as a result of pay structures. The pay structure should show a gap that distinguishes people from different grades and this should increase as we move up the ladder. Indeed, a new person in the company should not start off with a salary scale that is almost equivalent to senior people in the company. Part 1: I think the pay structure for Sullivan and Cromwell is fair because it uses a clear model in determining the salary scales for the associates. It is quite normal that a person starts from a lower level and that person moves up the ladder through ranks on the basis of his or her performance. In order for one to be upgraded to the next level, two things are considered namely experience and level of performance in the firm. These two strategies are very effective since they are not characterised by elements such as favouritism. This pay structure is likely to motivate the employees to put optimum performance in their work so that they can also be upgraded to a higher level. This strategy motivates people to know that good living comes through hard work and it is also fair in that any person is given the
Saturday, October 5, 2019
Value Alignment Essay Example | Topics and Well Written Essays - 250 words
Value Alignment - Essay Example 1). As such, organizational values are seen to be all encompassing for various stakeholders. As an individual, traditional values include being accorded with opportunities for personal and professional growth; being treated equally, fairly, and justly ââ¬â without discrimination or prejudice; being able to balance family life with work; and being able to adhere to ethical, moral and legal standards. The origin of individual values stem from the value system inculcated by oneââ¬â¢s parents (family) and that which is traditionally handed and manifested in oneââ¬â¢s culture. From the value statements, of the individual and that of the organization, it could be deduced that when these values are congruent; meaning, they are aligned or identical, the relationship between employer and employee is perceived to be harmonious, smooth, and effective. It was emphasized that ââ¬Å"values and ethics are important in the workplace to help keep order, ensuring that a company runs smoothly and remains profitableâ⬠(Amico, 2013, p. 1). As such, both the individual and the organization could work hand in hand towards the accomplishment of identified goals: whether it be personal, professional, or organizational
Friday, October 4, 2019
Means Producing Masculanity in Brokeback Mountain Essay
Means Producing Masculanity in Brokeback Mountain - Essay Example The mentioned aesthetics is used as part of the modern cinematography methods. It should be known that the mountain mentioned in the film symbolizes the protagonistsââ¬â¢ masculinity. The word mountain is, in fact, a metaphor, which symbolizes the relationship that the two leading men have. This shows that landscape can be used as a method of expressing masculinity as has been used in the film. The two protagonists explore their sexuality as the mountain environment provides them with an opportunity. Furthermore, the mountain area is described as being primal in nature (Bronski, 2008). It is quite evident that the film ââ¬ËBrokeback Mountainââ¬â¢ created a lot of controversy because it focused on homosexuality. In fact, many people seem to believe that this film is one of the few to attempt to reach perfection. The cinematography displayed in the film is flawless as witnessed in various scenes. For example, perfect cinematography is witnessed when the sheep were seen on a gr een slope running up and about, and long shots were being taken at the same time. Also, intelligent mise en scene can be witnessed when the sexuality portrayed by Anne Hathaway dies slowly (Gilbey, 2006). Thereafter, one can view her sexuality from her exceptionally long nails as well as her blond coif. The film had a spare script, which in this case, was another vital aspect of its mise en scene. The filmââ¬â¢s cast acted their roles well and the most outstanding character being Heath Ledger. He is portrayed as a man who utters words that he cannot be able to control in turn; most times he is tampered down (Williams, 2008). In other movies that have been directed by Lee, focus had been on women who were oppressed in the societies they lived in. In this film, he chose to focus upon homosexual men, who are victimized in society. The latter are often denied an opportunity to express their masculinity, but Lee made a perfect attempt in demonstrating this. The cinematography made sur e that when a non -gay person watches the film, they will not be prejudice against those who are gay. Most people who have watched the film claim that it is a tearjerker, because one feels compassion for the protagonists (Gilbey, 2006). The extremely purposeful and powerful mise en scene shows how Ennis and Jack demonstrate their masculinity, when they engage in acts of seduction. Each of the various scenes, where foreplay and seduction take place is in an almost slow motion. This ensures that the person watching the film becomes fascinated by the mysterious love story. It is clearly evident from the film that males can also express their masculinity and sexuality, just as women do. In the first scene, a long shot is taken to show how the two protagonists meet each other. In this scene, bogy language is expressed well and one notices that Jack is the one who seduces Ennis. He does this by holding himself suggestively as he waits for a response from Ennis. In the coming scenes, close up shots have been used to show how Ennis reacts after being seduced. It is evident that Ennis is trying to hide his true character by not responding to the advancements made by Jack (Williams, 2008). The shot that comes after shows how Jake views Ennis from his mirror, which suggests that he is still trying to seduce him. In the last shot, Jake is seen trying to shave, while at the same, time talking to Wood and Ennis. Jake seems to appreciate male masculinity as shown by the filmââ¬â¢
Thursday, October 3, 2019
Care planning for individual needs Essay Example for Free
Care planning for individual needs Essay Care planning to meet the care needs of an individual (P4, M3, D2) What are the potential differences in Sallyââ¬â¢s care needs at all the different life stages? Childhood: In Sallyââ¬â¢s childhood, she grew up in mining town which may have been detrimental to her health due to the dust particles and other substance that could have been brought up from the mine, she has stated that when she was growing up, that there was ice on the inside of the window, that the house was cold and damp, and that she remembers having Bronchitis every year and having three weeks off in infant and junior school. Sally also said that she remember when she was little that she was told of for having the back door wide open because it was so hot she did not know why until a lot of years later when her mom said that she had measles which was very serious and that she could of died from it. She also states that when she was eleven, that she and her parents moved in to a house with central heating. Differences in Sallyââ¬â¢s care: Not having central heating from an early age, she also contracted bronchitis and measles which could have been detrimental to her health. Adolescence: Sally has said that in her teens, she experienced really bad period pains and that she was taken out of education because of it, but she also says that she was prescribed with tablets that made her really drowsy and sleepy but she says that it took the pain away. Differences in sallyââ¬â¢s care: Every girl in their teens will at some point start having periods, some girls will have really bad pains from it and some wont, in Sallyââ¬â¢s case she would have needed medication to help relieve the pain and have a general practitioner that would be allowed to get prescribed her the medication. Adulthood: When Sally was twenty years old she said that she experienced a lot of burning in her throat, and that she could not eat properly, thatââ¬â¢s she had to have a endoscopy (a camera put down her throat to determine what it was) and the surgeon found out that Sally had a relaxed muscle at the top of her oesophagus/gullet. This was because her stomach acid could escape in to her throat, she says that the doctor gave her some medication and that she would have to take it all her life, and that she had to be careful in bending down/over, and that she had to sleep on a slant which she says was veryà uncomfortable, but she had to so that the stomach acid would not travel out of her stomach and in to her mouth. Sally also states that she had a miscarriage in her middle twenties and an ectopic pregnancy (when the embryo implants itself outside of the uterus) but she eventually had a baby and then two more. She then decided to go on to the contraceptive pill so that she could not have any more children. Difference in Sallyââ¬â¢s care: Burning in her throat because of a relaxed muscle, having an endoscopy put down her throat thatââ¬â¢s would have been very weird for her and a bit scary as well. Having a miscarriage would make her a bit scared of having children in the future as it would for any women and then having an ectopic pregnancy as well but eventually she have her own children, 3 of them. Adulthood and Later Adulthood Sally says that when she was in her thirties, she was in a car accident and unfortunately her teeth were smashed on impact, Sally had to have some dental work and she had to have porcelain veneers, Sally really hated the fact that she has not got her own teeth as she states that she took great care of them. Sally is now 61 years of age and she says also that that she went through the menopause in her fifties and that she still suffers from night sweats and hot flushes now and again, she has to wear glasses as that her eye sight has weakened and that she also suffers from arthritis in her fingers. Difference in sallyââ¬â¢s care: Being in a car accident, unfortunately this is quite common as that there are a lot of bad drivers out on the road but having all her teeth smashed well thatââ¬â¢s not as common, this would have been another life experience for Sally having to lose all of her teeth and having fake ones. Going through menopause this generally happen to all women in the fifties and it can make women quite self-conscious about themselves, to make it even worst she still suffers from night sweats which will make her sweaty and she may be concerned that she smells when around others. Eye sight she has to wear glasses so that would be something new for her but again is quite common in elder age and so is arthritis.
Is globalization to be blamed for child labour
Is globalization to be blamed for child labour This paper addresses an issue that appears to be on the increase worldwide; Child Labour. Recent ILO estimates state that every seventh child in the world is engaged in working activities. Because of their familys financial difficulties these children are forced to give up their future in terms of education, health and leisure. This emphasises the importance to carry out further research and analysis on the phenomenon of child labour as well as come up with effective policy inventions in order to eliminate child labour. According to Basu (1999) designing policies should be based on careful analysis and research instead of underlying emotions or feelings towards child labour. It is extremely important to consider the precise definition of child labour before proceeding. There is immense heterogeneity in defining child labour as different groups view it differently. For example according to Ashagrie (1993) a child is categorised as labourer if the child is economically active. Then again we need to come to an agreement on what age group being a child consists of. Most studies however follow the ILOs convention No.138 and treat a person under 15 years old as a child and estimate child labour by observing economic activity of children under the age of 15. For the purpose of our study we will be looking at children between the ages 0-14. The aim of this paper is to discover the impact globalisation has had and is having on child labour. As globalization is a broad topic, I will be focusing specifically on trade liberalization, which plays an essential role within the globalization process. Liberalised trade had been the engine of capitalistic growth from colonial times; however globalization has led to a change in this pattern. Under colonialism, land conquest operated as a pre-condition andà (foreign) capital and (foreign) labour converged on land to produce goods for trade (e.g. plantation production). But, with globalization, capital is seeking investment outlets globally, where, besides marketing opportunities,à cheap labour is a key determinant. This has resulted in large scale foreign direct investment (FDI) with multi national corporations yielding the necessary structural change. LEDCs are keen to receive FDI and have gone to the extent of creating a suitable environment for such capital overlooking socia l issues.à The policy had been conducive for cheap labour in the form of children and women (e.g. garment industries within the FTZ in Sri Lanka). Economists argue that international trade is beneficial in terms of increasing the income of the country as well as creating job opportunities in the country. It is also one of the important sources of revenue for a developing country. But there is no denying that there may be losers from international trade too; for example the imports of cheap goods produced by low skilled workers may not only reduce the demand for those goods but also reduces employment opportunities for low skilled workers. Although trade can bring some disadvantages to a countrys economy, it is necessary that it does not effect the younger population who will determine the future of the economy. This paper investigates whether trade liberalization increases the incidence of child labour. Since our concern is working children, who are predominant in the developing world, my focus will be on developing countries specifically on India, Pakistan, Bangladesh, Nepal and Sri Lanka. The main reason for why it is interesting to consider these South Asian countries is due to the high proportion (40%) of the worlds child labour emerging from these countries as well as the rapid export growth monitored in these countries. One would expect a positive relationship between trade openness and child labour as more trade means more exports, which in turn means an increase in demand for labour; therefore, children enter the labour market. However this is an extremely generalised statement, the next section presents what the economic theory says about this matter. This study looks at a panel of 50 developing countries over a period of 4 decades to in order to observe the effect of trade on chil d labour. Another reason for the use of panel data is due to the fact that child labour is not a recent issue, it has been happening for several decades now, therefore it is interesting to see if there has been a trend over time. It also makes sense to observe the consequences of globalisation over time as there has been a rapid, continuous progress in information and technology which highly contributes to trade liberalization (Krugman 1995), especially in the 1980s when globalisation got in its stride. In order to test the effect of trade liberalization on child labour, a multiple regression analysis will be carried out using economic activity rate of children between 10-14 as the indicator for child labour and the countrys imports and exports (%GDP) as the measure of trade openness. In addition control variables such as GDP per capita and proportion of children between 0-14 as well as regional dummies are added to the regression. Data are mainly collected from the World Bank and UN common database. The report proceeds as follows. Chapter 2 reviews the theory of trade and how it is likely to affect child labour. The methods used to carry out the empirical analysis along with the description of the data used is described in chapter 3. The results and findings are presented in chapter 4 followed by the conclusions and possible policy recommendations in chapter 5. Theory Parents make the decisions regarding whether to send their children to school; they make these decisions by comparing benefits and costs of education as well the opportunity cost of time spent in education rather than working. Ranjan (1999) says that credit market imperfections are the reason for the existence of borrowing constraints. Therefore when parents cannot borrow against their childrens future earnings, the deep poverty forces them to send their children to work. When the country opens to trade in an unskilled labour abundant country (i.e. developing country) this may affect child labour in two ways. Firstly, the demand effect due to the increase in wage of the unskilled workers which in turn reduces the returns to skilled workers. Looking at it in this perspective makes it more likely that parents would send their children to work rather than to school. Another perspective is that households with unskilled workers become better off as they receive higher wages; therefore th ere is less of a need to send the children to work. The overall outcome will depend on which of these effects dominates (Ranjan 2001). However it is important to note that the impact of trade liberalization on child labour will be varied in different countries depending on the factor endowments of the country. Developing countries are relatively abundant in unskilled labour therefore trade growth may not have a significant impact on child labour. Krueger(1996) says that trade between two countries is determined by comparative advantage. A country has a comparative advantage in producing a good if the opportunity cost of producing that good is smaller in that country compared to other countries. The country with a comparative advantage also uses its resources most efficiently in the production of that good. So for example if developing countries specialize in goods that make use of unskilled labour, more of those goods are produced. The country gains from trade due to its specialization in the products that uses its resources more efficiently. This in turn brings more income to the country which can then be used to buy the goods and services the country desires. Domestic workers also benefit from this as the familys real income increases from producing the good the country specializes in. This theory can be linked with the two possible implications trade has on child labour as discussed by Ranjan; income effect reduces child l abour as the additional income helps parents reduce the work load of their children or the higher income to families may also mean parents would rather send their children to work. However Cigno et al (2002) found a negative relationship between trade and the incidence of child labour in their cross country study. The problems using a cross country study is that data collection methods in different countries may vary; therefore results may be less reliable when comparing. Also cross sectionalà studies are carried out at one particular point in time or over a short period of time, therefore its only a snapshot. The results may be different if the study had been carried out in a different period. Findings of Shelbourne (2002) also supports the results derived from the study carried out by Cigno et al. Her reasoning was that the economy expands due to international trade which in turn increases per capita GDP reducing the need for child labourers. This is not necessarily true as an i ncrease in the volume of production within the country might mean there is higher demand for cheap labour in order to maximize profits. The Heckscher-Ohlin theory explains trade through differences in resources. For example let us now take a look at a simple framework where capital and labour are the factors of production. Under this framework a country will have comparative advantage in producing goods which intensively uses the factor with which they are abundantly endowed. According to this theory openness to trade increases demand for the good produced by the abundant factor which indirectly increases the demand for the abundant factor itself. This also increases the price of the abundant factor. In other words, countries that have a relatively high proportion of labour (labour intensive), which are mainly the developing countries will tend to export labour intensive goods and countries which are well endowed in terms of capital will export capital intensive goods. (criticize) Brown (2000) and Dixit (2000) believe that when countries involve in trade the wages are determined by the prices of the products. In conjunction with Heckscher-Ohlins model, this means the increase in price of the export products can actually reduce the incidence of child labour as adult wages rise. However according to Maskus (1997) the demand for child labour depends on the demand for export goods. In other words the higher the demand for export goods the higher the demand for child workers through higher equilibrium wages. His theory, however contradicts with Stolper Samuelsons theorem, which states that the expansion of the export sector increases adult wages and therefore it reduces the supply of child labour. These are two contradicting views as the expansion in the export sector can either increase or decrease child labour. However, all these theories are solely based on income and how child labour is affected due to the income effects triggered by trade. Perhaps other factor s such as poverty and welfare benefits should be taken in to account. It is generally accepted that liberalization under globalization has led to a maldistribution of income, which has created relative poverty. The worst affected has been the LEDCs. It is also true that certainà LEDCs, the least developed ones, are also affected by absolute poverty. When families are threatened to beà below poverty lines, child labour becomes a convenient means to enhance family incomes. Moreover part of the liberalized programme under globalization has been a reduction in welfare activities both in the developing and developed world. World Bank and IMF impose on LDCs welfare reduction as a pre-requisite for capital and any other form of assistance. It has led to privatisation in especially health and education driving a lot of families to lower income levels, eventually, culminating in denial of proper educational facilitiesà and the creation of child labour. Overall, the review of theory works seems to be more supportive towards a negative relationship between trade openness and child labour mainly due to the positive income effect trade brings to the country. We will now take a look at some empirical evidence to see if they support these theories. Empirical evidence The empirical evidence already found on the relationship between trade openness and child labour does not give us a clear picture. Most cross-sectional studies tend to show a negative relationship between trade improvement and the incidence of child labour. In fact in the panel study carried out by Cigno et al. (2002) there were no significant relationship between the two variables. The overall effect of trade liberalization on child labour seems to differ across countries. Kis-Katos (2007) carried out an empirical study using a panel of 91 countries measuring variables every decade from 1960-2000. However she only included the countries that reported a positive value of child labour; one needs to take into consideration that not all countries let out information about issues such as child labour and also countries tend to underreport work by children, therefore her results may have been different if these secretive countries were also included. She found an overall increase in trade openness over the decades as well as a steady decrease in the incidence of child labour. However the reliability of the data should be taken into account as illegal work or household work carried out by children may not be reported, which affect the reliability of the results. Moreover in developing countries economic censuses are rare and the ILO often makes adjustments such as intrapolating or extrapolating data in order to get estimates. This means the actual values may be over or under estimated than the true value. Cigno et al. (2002) found no empirical evidence that international trade raises child labour. In fact their cross country study shows that trade liberalisation actually decreases child labour. One of the indicators they used to measure child labour was primary school non-attendance rate. It is important to note that child not attending school does not necessarily mean the child is engaging in economic activity. It may for example be the case that the family cannot afford to send the child to school or even that the child has health problems. Therefore using primary school non attendance rate is not as appropriate as an indicator. The other indicator used was economic activity of children between ages 10-14, which clearly excludes children younger the 10 who are more of a cause of concern. However considering there are only limited data available on child labour, these indicators do give us a broad brush picture of the evolution of child labour. Issues with the reliability of data are the same as those discussed for Kis-Katoss empirical study above. As we have seen, most of the empirical findings are consistent with the theoretical considerations we discussed previously. In other words empirical work carried out so far mainly find a negative relationship between trade openness and child labour supporting most of the theories. Methodology Our empirical work is aimed at understanding whether the panel data evidence suggests a link between trade and child labour and whether there is any evidence to support our hypothesis of trade liberalization exerting an upward pressure of child labour. Data and variables In order to address the research question which is to observe whether trade liberalization increases child labour, a panel of 50 developing countries are used, where the variables are measured every ten years between 1960-2000. The focus of the regression is to observe child labour over time keeping in mind the current wave of globalisation progressed rapidly around the 1980s. However by looking at the data it is important to note that not all countries have experienced an increase in trade over each decade. There are a total of 250 observations for each variable considered over the years 1960, 1970, 1980, 1990 and 2000. A panel data method has been carried out for this analysis for several reasons. Firstly the use of panel data increases the number of observations. For example in our case using data over 5 different time periods has increased the sample size by 5 times which will help increase the precision of the regression estimates. It also increases the degrees of freedom and reduces the collinearity among explanatory variables, again increasing the precision of the estimates. Moreover it allows us to analyse important economic questions which cannot be addressed using cross sectional analysis alone. For example in our case using a cross sectional analysis will not be appropriate as we are interested in observing a trend over time. Data was taken from the World Bank development indicators (reference) and the United Nation common database. The dependent variable used is the economic activity rate of children between the ages 10-14 taken from the ILO estimates. Using this variable as an indicator for child labour has two main problems. Firstly children under the age of 10 who may be involved in child labour are excluded. Secondly this indicator does not include children working within the household, or children involved in illegal work such as prostitution. In developing countries economic censuses are rare and the ILO often makes adjustments such as intrapolating or extrapolating data in order to get estimates. This means the actual values may be over or under estimated than the true value, which also have an impact on the results. However considering the lack of data available on child labour and comparing with other indicators present, this indicator serves best available proxy for measuring child labour. As we are looking at the impact of trade on child labour the main explanatory variable used in our analysis is trade (% GDP). The trade variable gives the sum of exports and imports of goods and services measured as a share of gross domestic product. In addition to this two other control variables have been included. The control variables are GDP per capita growth (%) and the age group 0-14 as a percentage of the whole population. The reason for the use of control variables is to see if there is actually a relationship between trade and child labour given that these control variables which also affect the dependent variable are kept constant. It would have been desirable to control for variables such as poverty and differences in income distribution, but the data available was not sufficiently consistent across the countries and years we are considering. GDP per capita is used as a control variable because it controls for average income effects caused by trade liberalization. As we mentioned earlier increase in trade means countries gain new production opportunities which in turn increases GDP per capita. This positive income effect is most likely to reduce child labour. Therefore it is essential to control this variable. The other control variable used is age group 0-14 as a percentage of the whole population. This variable allows us to observe whether the increase in number of children in that given age group over the years affects child labour. The notion behind this is that the larger the families the higher the demand for income therefore a higher chance of children entering the labour force. As my main focus is on South Asian countries a regional dummy variable has been added to the regression which takes a value of 1 if the country is in South Asia and a value of 0 if not. This regional dummy helps to capture the change in child labour in the south Asian countries which is known to have a high prevalence of child labour. Results By looking at the data for every 10 years from 1960 to 2000, we can see a general increase in trade openness over time as well as a steady decrease in economic activity rates. We begin our analysis by considering the association between volume of trade (openness) and child labour for the years 1960, 1980 and 2000. This allows us to have a rough overview of how the relationship has changed (if any) before and after globalisation (considering globalisation occurred around the 1980s). 1980 This figure shows a scatter plot of the data for 1980 for the variables trade and child labour. A point on this scatter plot represents the volume of trade in 1980 and the economic activity rate of children between 10-14 in 1980 for a given country. The OLS regression line obtained by regressing these two variables is also plotted on the figure, which shows a slightly negative relationship; the estimated regression line is: CL = 26.6601794934 0.0149024702066*TRADE (1980 data) Because we have data for more than one year, we can re-examine this relation for another year. The scatter plots for the years 1960 and 2000 are given below. CL = 36.3205247048 0.119594768169*TRADE (1960 data) CL = 26.0540622351 0.109873185356*TRADE (2000 data) All three scatter plots show a negative relation between trade and child labour although year 2000 has the highest coefficient on trade implying that the reduction in child labour was greater in the year 2000 compared to 1960 and 1980. Keeping in mind that globalization took its stride in the 1980s, these scatter plots show that globalization has in fact reduced child labour further. However these plots only show what happened in that specific year, there may have been fluctuations between the years (i.e between 1980 and 1990) and also we cannot tell the trend over time using these individual plots. A better way of estimating the relationship is a regression approach that takes into account both the time and the cross section. Estimation strategy The estimation equation is of the following form: CLit = f( Tradeit, GDPit, Population 0-14it, Regional dummy for South Asiait), Where i= country x and t= time (decade t). More formally: Yit = ÃŽà ²1i + ÃŽà ²2X2it + ÃŽà ²3X3it + ÃŽà ²4X4it + ÃŽà ´(SAit) + ÃŽà µit. The anticipated signs of the coefficients: The coefficient of trade (ÃŽà ²2) which is what we are most interested in could either be positive or negative, although according to theory it is most likely to be negative. Coefficient of GDP (ÃŽà ²3) is expected to be negative as the higher the GDP per capita the lower the incidence of child labour due to the positive income effect. The coefficient of the number of children aged 0-14 (ÃŽà ²4) is expected to be positive as the larger the number of children per family the higher the demand for income in order to support the family. As south Asia has a high incidence of child labour, the coefficient of the dummy variable is expected to be positive and large. Dependent Variable: CL Method: Panel Least Squares Date: 03/21/10 Time: 16:24 Sample: 1 5 Periods included: 5 Cross-sections included: 50 Total panel (balanced) observations: 250 Variable Coefficient Std. Error t-Statistic Prob.à à C -1.326061 7.182926 -0.184613 0.8537 TRADE -0.103054 0.031110 -3.312572 0.0011 GDP -0.448464 0.186588 -2.403504 0.0170 POP 0.778480 0.163337 4.766091 0.0000 SA 6.023961 3.378131 1.783223 0.0758 R-squared 0.149969 à à à à Mean dependent var 25.40160 Adjusted R-squared 0.136091 à à à à S.D. dependent var 15.99024 S.E. of regression 14.86241 à à à à Akaike info criterion 8.255344 Sum squared resid 54118.32 à à à à Schwarz criterion 8.325773 Log likelihood -1026.918 à à à à Hannan-Quinn criter. 8.283690 F-statistic 10.80618 à à à à Durbin-Watson stat 0.152585 Prob(F-statistic) 0.000000 CL = -1.32606116682 0.103053628312*TRADE 0.448464386734*GDP + 0.778479521915*POP + 6.0239606613*SA The results show the coefficients of ÃŽà ²2, ÃŽà ²3, ÃŽà ²4 are as expected. For a given country i, when trade liberalization varies across time by one unit, child labour decreases by 0.103 units. Similarly when GDP and population vary across time by one unit child labour decreases by 0.448 and increases by 0.778 respectively. Looking at the results it is clear that trade liberalization does not have much of an impact on child labour as indicated by a very small coefficient, which we may even interpret as there being no impact of trade on child labour. It is important to note that being a South Asian country is associated with child labour that is 6.02 units higher, everything else held constant. This was also expected as we found out earlier that a large proportion of child labour comes from South Asian countries. Our previous theory discussion implied that the relationship between openness and child labour could be either positive or negative. Our results suggest that grea ter openness is associated with slightly less child labour or even no effect on child labour. In order to test the significance of the coefficients, t-tests have been carried for each variable: Trade: H0: ÃŽà ²2 à ¢Ã¢â¬ °Ã ¥ 0 (there is no relationship or a positive relationship between trade openness and child labour) H1: ÃŽà ²2 t = b2 = -3.313 se(b2) Under the 5% significance level the critical t-value is t(0.05,246) = -1.651. Since -3.313 GDP: H0: ÃŽà ²3 à ¢Ã¢â¬ °Ã ¥ 0 (there is no relationship or a positive relationship between GDP and child labour) H1: ÃŽà ²3 t = b3 = -2.404 se(b3) Since -2.404 Number of children between 0-14: H0: ÃŽà ²4 = 0 (there is no relationship between number of children and child labour) H1: ÃŽà ²4 à ¢Ã¢â¬ °Ã 0 (there is a negative relationship between number of children and child labour) t = b4 = 4.77 se(b4) Since 4.77 > 1.651 we do not reject H0. In this case there is insufficient evidence in our sample to conclude that there is a relationship between number of children between 0-14 and child labour. Therefore we cannot be confident that this variable is actually has an impact on child labour. Perhaps further research into this will be useful. Estimating the regression excluding the population variable yields similar coefficients for the trade and GDP variables however the dummy variable for south Asia has a much smaller coefficient compared to when population was included. This shows that population is an important variable when considering South Asian countries and excluding it leads to an omitted variable bias especially when south Asian countries are involved. This is true as countries like India have a very large population therefore the proportion of children between 0-14 is likely to be high. As discussed earlier large number of children per household means extra income is required to support the family, which may lead to a necessity for children to work. Although population is an important variable, regressing it with child labour may not yield extremely reliable results in our case. This is because we are only taking into account children between the ages 10-14 as a measure of child labour, which is excluding the age group 0-9, whereas the population variables includes all ages between 0-14. This implies that the coefficient is likely to be much higher if we were to include economic activity rate of children between 0-14 as our dependent variable, which was not possible due to limited availability of data. This may be a reason why the coefficient of the population variable was insignificant as we found when carrying out the t-test. These results interpreted above however did not control for the characteristics of the countries. Fixed effect approach An advantage of panel data is that we are able to hold constant individual differences which allow us to focus on marginal effects of the independent variables considered. It is reasonable to into include the fixed effects model in our analysis as the data complies with the 2 basic requirements of using the fixed effects model; firstly dependent variable must be measured for each country for at least 2 periods and secondly the independent variable must change in value across the periods. There is no need to add the dummy variable in this case as the fixed effects are already controlling for location. Having the cross section as fixed yield the following results: As we can see from the table the coefficient of trade is more or less the same as before, however GDP now has a slightly positive coefficient. The regression R2 jumps from 0.0705 to 0.9097 when fixed effects are included. This shows that the country fixed effects account for a large amount of variation in the data. Although fixed effect approach has an attractive feature that allows controlling for the variables that have not or cannot be measured, they only take into account within country differences discarding any information about differences between countries. An F-test can be carried out to see if there is individual differences and it if is important to include cross section fixed effects in the model. Ho: ÃŽà ²11=ÃŽà ²12=ÃŽà ²13à ¢Ã¢â ¬Ã ¦. =ÃŽà ²1N (no fixed effect differences) H1: the ÃŽà ²1i are not all equal F = (SSER SSEU) /J = 38.63 SSEU/(NT-N-(K-1)) Where the degrees of freedom J = N-1 = 50-1 = 49 and NT-N-(K-1) = (50x 5)-50-(3-1) = 198. Under the 5% significant level the critical value is Fc = 1.419 We reject Ho if F à ¢Ã¢â¬ °Ã ¥ Fc, since 38.63 à ¢Ã¢â¬ °Ã ¥1.419 we reject the null hypothesis of no fixed effect differences between these countries, therefore it is good to include fixed effects in the model. Overall, changes in trade over the decades had no impact or very little (decrease) effect on child labour. The other explanatory variables GDP and population also had the expected signs on the coefficients although under the fixed effects GDP had a small but positive coefficient. (what does this mean?) These finding are consistent with the theory we discussed previously. Policy interventions What can the Government do to reduce child labour? Some of the previous studies carried out on this topic have mainly mentioned improvements in schooling facilities as one of the main policy recommendations for combating child labour. For example Basu (0000) says that availability of good schools and provision of free meals for the children would be a way to reduce the number of children working. However, developing countries are generally poorer due to the lack of funds; therefore it may not be feasible to invest a lot on schooling. Moreover, attending school is only going to decrease full time work, whereas children could still be involved in part-time work after school. This shows that it is very difficult to abolish child labour completely by changes in schooling policy. Basu also mentions that a total ban on child labour may be a better option as a large scale of withdrawa
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