Saturday, August 31, 2019

Compare the strategies and goals of Dr. Martin Luther King Jr. and Malcolm X during the Civil Rights Movements Essay

In the history of the American civil rights movement, two seminal figures emerge: that of the peaceful and nonviolent Martin Luther King, Jr., and the revolutionary and radical Malcolm X. From these two contrasting images, America did not know how exactly to classify the movement. On one hand, Malcolm X preached independence and a â€Å"by any means necessary† approach to achieving equality in America. And on the other, King preached a nonviolent, disobedient philosophy similar to that of Gandhi in the achievement of Indian independence earlier in the century. While most students are familiar with King as a civil rights leader, most are equally uninformed about the impact of Malcolm X in the African-American struggle for equality and freedom. And while there is much to learn from the two contrasting philosophies and approaches to change of each man, there are common threads that unite them: namely, a combined religiosity with political leadership that morphed into a demand for social and economic equality. Despite their differences, King and Malcolm X represented the same cause, and with the achievement of the movement, left a similar legacy to generations of Americans seeking change in their own time. However, from a comparative perspective, one cannot imagine a civil rights movement without the tactics King favored, or a successful movement characterized by the kind of violence and hatred advocated by Malcolm X. When one is asked to think of a comparison between two alternatives and which of the alternatives is â€Å"better†, one ought to imagine which alternative would produce the better outcome. A better outcome in any struggle for political change is one not characterized by widespread violence. Dr. Martin Luther King Jr.’s childhood and young adulthood were exemplified by his work within the system, achieving prosperity through education and thinking, not through the violent struggle for existence like in the case of Malcolm X. In King’s â€Å"I Have a Dream† speech, he invites the listener to imagine a future in which Black children have an equal opportunity at achieving prosperity through education and hard word: an example of an equal chance not available at that time. Achieving this required nonviolent means consistent with the principles King adopted through his time studying Gandhi and civil disobedience. King called on people to be disobedient for the c ause of racial equality, whereas Malcolm X called on people to be violently forceful'†in opposition to any kind of representation of white power'†for the cause of Black power. Unlike  King, Malcolm X’s message did not convey a message of equality, but of hateful lashing out against an institution with the power to crush violent opposition. Like Gandhi, King insightfully recognized the efficacy of disobeying the system as a means of changing it. Violently attacking the system would only invite violent attacks back, and would, in the end, make the problem worse for Blacks. While Black militancy is understandable given Malcolm X’s history and his perception of the problem afflicting Blacks at the time, the better means of achieving Black rights was through nonviolence: specifically, boycotts, demonstrations, and marches. Dr. King welcomed participation from all people, including whites and other minorities, unlike Malcolm X. In historical reflections on the civil rights movement, it took both Blacks and whites (working within the white power structure) to achieve the desired outcome. For instance, white New Yorkers Michael Schwerner and Andrew Goodman were killed by Klansmen in Mississippi decided to investigate the burning of a Black church. Viola Gregg Liuzzo, a white mother from Michigan, was killed by Alabaman Klansmen in 1965 when she tried to help Blacks in the South (Maxwell). Thousands of whites worked for Black freedom: an ideological shift supported and encouraged by the kinds of tactics Dr. King advocated. The same cannot be said of Ma lcolm X, who famously remarked that white people were â€Å"a race of devils† (Lomax 57). What white person would be encouraged to work for civil rights given such an antagonistic remark? Although Black militancy was important in the context of the entire civil rights movement, the retaliatory tenor of Malcolm X’s message was sure to cause opposition from the establishment. The message was also profoundly collectivistic and an antithesis of the American value of individualism (McTaggart). His call for Blacks to come together created a movement for Black socialism in a kind of voluntary segregation. In a way, this defeated the purpose of the civil rights movement, and, absent of the efforts of other, less oppositional leaders, would have probably worsened the problem facing Blacks in America. Forcing the Black community to remain segregated from whites as a whole could have continued the sentiment among racist Americans that Black people are not equal to white people. Dr. King, in  contrast, unswervingly advocated for a social conscience in America: drawing attention to the inequalities he witnessed in a number of areas of society. Rather than assuming these i nequalities existed and not drawing public attention to them, Dr. King made it his role in the movement to challenge social assumptions about the place of Black people in America. Despite Malcolm X’s enormous influence on the movement, his message was not one of equality, but of retaliation for inequality. Although both Malcolm X and Dr. Martin Luther King, Jr. were transformational leaders who were instrumental in raising public awareness of a problem of inequality, only King’s methods could have been successful in bringing about the desired outcome of the movement. Applied to the movement as a whole, Malcolm X’s philosophy of violent retaliation would have exacerbated the problem Blacks faced at the time, forcing the white establishment to increase oppression and segregation of the Black community. Because King’s techniques were successful in challenging the establishment, Blacks achieved a number of civil rights not previously available to them. The kind of transformation leader King represents is a rare symbol, and the inspiration he provided to Black people for change still inspires people to strive for equality and freedom. Works Cited Lomax, Louis E. When the Word is Given†¦: A Report on Elijah Muhammad, Malcolm X, and the Black Muslim World. New York: Greenwood Press, 1979. Maxwell, Bill. White friends of civil rights. 20 January 2008. 27 April 2010 . McTaggart, Ursula. The Oratory of Malcolm X. February 2006. April 2010 .

Friday, August 30, 2019

Nursing as a Profession

Nursing as a Profession The Purpose of this paper is to discuss whether nursing is a profession based on Pavalko’s eight dimensions describing a profession. Firstly, we must understand the definition of a profession before one can accurately judge the validation of the nursing profession. According to Webster dictionary, the definition of a profession is â€Å"a calling requiring specialized knowledge and often long academic preparation† (Webster dictionary, 2008).The nursing profession is one that needs specialized knowledge and training. It also applies to an occupation that requires formal education or qualification. The nursing field includes a set of skills that combines flexibility, creativity, knowledge and communication that are learnt in a formal setting. As we analyze Pavalko’s eight dimensions describing a profession, we will incorporate it into the nursing profession to justify or disprove if nursing is truly a profession. A profession has relevance t o social values.The nursing profession is rooted in its ability to serve all people with their acquired skills. The nursing profession has the power to make a huge difference in today’s health care system. They advocate for the individuals and focuses not only on the treatment component of an individual, but also on prevention and health promotion. They also seek for the protecting of human and legal rights and the securing of adequate care based on the notion that the patient has the right to make informed decisions about their health.According to nursing standards (2010) â€Å"people value nurses but do not understand how complex the profession has become and how key nurses are to the health care. Nurses are devoted to patient care and community involvement as a whole. The nursing profession provides various activities in the community as a whole such as volunteering for health – related activities such as screening, blood drives and educational programs. They serve as role models for health practices and healthy lifestyles. With these given attributes I believe the nursing rofession has relevance to social values. A profession has a training or educational period. There are various education preparations for the nursing practice and it various based on the location, length of time, course work, clinical component, advance educational opportunities, and competencies on graduation. The three main type of educational programs that lead to licensure as an RN includes the diploma, associate degree, and baccalaureate programs. The diploma requires a basic nursing education in a 3-year, hospital based diploma school of nursing.The Associate degree nursing (ADN), based on a research project carried out by Dr Mildred Montag in the 1950s, at the time there was a shortage of nurses, and the project was created to meet the needs of society by preparing nurses in less time than was required in diploma program (Taylor, Lillis, Lemone and Lynn, 2008). The B achelor of Science in nursing (BSN) is geared towards building on a general educational base, with concentration on nursing at the upper level. All graduates of these programs are mandated to take an NCLEX-RN examination set by the board of nursing.It is much different from nursing school exams which are knowledge based. The NCLEX-RN exams are application based which test one’s ability to be able to think critically as to make nursing judgments. The nursing profession incorporates specialized skill and application of knowledge based on theory and clinical practice components. It is also an evidence based practice based on research and not just intuition. Given these criteria, I believe the nursing field qualifies as a profession because of the training and educational period.Elements of self-motivation address the way in which the profession serves the patient or family and larger social system. The American Nurses Association (ANA) has been involved in advocating for health care reforms for many years, in order to guarantee high-quality health care for all. Today, with the increase cost of health care, under insured and uninsured individual there has been disparities in the quality and health care for individuals. The ANA saw the efforts of many registered nurses come to fruition, culminating in President Obama’s signing of H.R. 4872, â€Å"The Health Care and Education Affordability Reconciliation Act of 2010† (McNamara, 2010). This reform allows for greater protection against losing and denial of health care coverage, and it also allows for better access to primary care, wellness and prevention programs which will keep the patient healthier. This reform serves as a significant victory for the patient that the nursing profession serves. The ANA continues to be an advocate for building an affordable health care system that meets the needs of everyone (McNamara, 2010).In world where nurses are under pressure to deliver production-line care , it expresses the value of the â€Å"soft† aspect of caring that affect wellbeing (Wright, 2009). This attribute proves that the nursing profession is a profession that serves the patient and the larger social system. A profession has a code of ethics. Professional ethics and codes of ethics are the primary means for expressing the values and regulating the conduct of professionals in relation to their clients (Liaschenko, Peter, 2004). The ANA house of delegate adopted and first published the nursing code of ethics in the 1950’s.It has then been altered and revised to meet the changes in the profession and in society. The â€Å"Code† is the foundation upon which registered nurses provide care, it provides a framework for decision-making and basically guides the action of the registered nurse (Rafferty, 2010). It is a non-negotiable ethical standard that expresses the nurse’s own understanding of commitment to the society. The nursing profession qualifie s as a profession because it has a code of standard that guides its existence. A professional has a commitment to a lifelong work.The term nursing is derived from the word nurse, which means one that nourishes, foster, protect the sick, injured and restore health. The nursing profession is considered a career and not a job which involves commitment, promotes growth and increases various levels of responsibilities. The profession provides gratification for the individual’s personal accomplishment rather than entirely from a paycheck. The nursing profession has four main aims that define it. They aim to promote health, prevent illness, restore health, and facilitate coping with disability or death.The nurses can successfully achieve these aims through acquired knowledge, skills and critical thinking in order to give care in a variety of traditional and expanding nursing roles (Taylor, Lillis, Lemone and Lynn, 2008). The nursing profession is a profession that has a commitment t o a lifelong work. Members control their profession. The nursing profession is autonomous as the nursing board in each state has set up rules and guidelines that nurses are required to adhere strictly (Orem, 2008). There are numerous professional organization that set standards for the nursing practice and education.These entities are set up to help maintain the code of ethics that guides the nursing profession. The registered nurses work under professional and legislative control. The state board of each state set practice act for the registered nurse. These organizations helps to maintain the code of ethics, promote the registered nurse profession to the public, advocate for both the patient and other members of the organization and help to set a standard of practice for the profession. It also serves as a platform where one’s voice can be heard.Organizations such as the American Nurses Association (ANA), The American Association of Critical-care nurses (AACN), The National League for Nursing (NLN), The National Student Nurse’s Association (NSNA) and the National Black Nurses Association (NBNA ) are just a few of the professional organization that plays a significant role in empowering nurses in the nursing profession and also helping to facilitate network. They educate its members to incorporate client interaction, personal interaction with the public, public speaking and community activities and participation in political activities to be effective in the field of nursing.Overall, I believe the nursing profession qualifies as a profession because it has members that control the profession. A Profession has theoretical framework on which professional practice is based. The nursing field has always been evidence based. The first nursing theory was born in the 1950’s. In 1952, Dr. Hildegard Peplau published a nursing model that described the importance of the â€Å"therapeutic relationship† in health and wellness (Zerwekh and Clabo rn, 2009). Thereafter, other nursing theorist such as Martha Rogers, Dorothy Johnson, Nola Pender, Lydia hall, sister Callista Roy, Dorothea Orem, and BettyNeuman have contributed to theory based nursing. The Theory-based nursing is geared towards a common goal with the ultimate outcome resulting in improved patient care. It provides rational and knowledgeable reasons for nursing actions, based on organized written description of what nursing is and what nurses do (Taylor, Lillis, Lemone and Lynn, 2008). Members of a profession have a common identity and a distinctive subculture. In the past, nurses have been identified by the white gown, shoe, cap and pin. They were identified mostly by how they look instead of what they did.The modern-day trend emphasizes that it is not what is worn but what is done that reflects one’s role in the nursing profession (Zerwekh and Claborn, 2009). The nursing profession has a distinctive subculture that is identifiable. These include affiliati on with alumni association, student nurses association, and nursing honor societies or clubs. Involvements in such organization provides for social interaction and networking in later years. The BSN nurse plays a variety of roles in relation to patient care such as being a caregiver, teacher, advocate, manager, colleague and expert.The role of the caregiver is the primary role of a nurse which includes promoting wellness through activities that prevent illness, restore health, function as a nurturer, comforter and provider, provide direct, promote comfort of client and showing concern for client welfare and acceptance of the client as an individual. As a teacher, the BSN nurse must use his or her communication skills to implement, asses, evaluate and execute individual teaching plan to meet the learning needs of the patient and the family (Zerwekh and Claborn, 2009).The role of the nurse as an advocate involves choosing the best plan of action on behalf of the client by making sure that their needs are met and protecting their human and legal right. They also provide detailed and understandable explanation and information to support the client’s decision. The nurse as a manager helps to make decisions, plan, instruct, evaluate care, and coordinate activities and representation of the staff and health care facilities as needed. The role of a colleague is an important role in the nursing field.It deals with effective communication and conflict management amongst peers working towards a purposeful goal to provide adequate care for the client and other synergy among other health care professionals. The nurse as an expert specializes in a specific area of practice acquired through advanced formal or informal education. They include researchers, clinician, educators, theorist and leaders within the nursing profession. They share information with other nurses through mentoring, continuing-education programs, writing articles and guest-speaking.Overall, the bsn nurse must embrace the roles that provide a wealth of knowledge about the ever evolving field of nursing. In conclusion, the nursing profession is definitely a profession based on Pavalko’s eight dimensions describing a profession. It has relevance to social values, requires training or educational period, self motivating to serve the patient and their family and the larger social system, guided by a code of ethics, commitment to a lifelong work, members control their profession, has a theoretical framework and have a common identity and a distinctive subculture.It is a true profession that is considered the largest and most powerful of all the health care professionals. References Ajiboye, Peace. (2010). Profession's popular image. Nursing Standard, 24(25), 14. Liaschenko, J, ;amp; Peter, E. (2004). Nursing ethics and conceptualization of nursing: profession, practice and work. Journal of Advanced Nursing, 46(5), 488-95. McNamara, M. (2010, March 30). Ana's nurses’ e fforts pay off in historic health care bill signing. American Nurses Association, Retrieved from www. nursingworld. rg Orem, O. (2008, February 8). â€Å"What’s in a name? † Chinese Medicine Therapy, Retrieved fromhttp://www. chinesemedicinetherapy. com/nursing. Taylor, C, Lillis, C. , LeMone, P. & Lynn, P. (2008). Fundamentals of Nursing: The Art & Science of Nursing Care (6th ed. ). Philadelphia, PA: Lippincott, Williams & Wilkins. Wright, Steven. (2009). The Ethics of care. Nursing standards, 24(8), 26-27. Zerwekh, J. , & Clayborn, J. (2009). Nursing today transition and trends (6th ed. ). St. Lois: Missouri. Saunders Elsevier.

Psychodynamic Perspective Essay

There are various different approaches in contemporary approaches. An approach is a perspective that involves assumptions about human behaviour, the way they function, which aspects of them are worthy of study and what research methods are appropriate for undertaking this study. There may be several different theories within an approach, but they all share these common assumptions. You may be wonder why there are so many different psychology perspectives and whether one approach is correct and others wrong. Most psychologists would agree that no one perspective is correct, although in the past, in the early days of psychology, the behaviourist would have said their perspective was the only truly scientific one. Each perspective has its strengths and weakness and brings something different to our understanding of human behaviour. For this reason, it is important that psychology does have different perspectives to the understanding and study of human and animal behaviour. There are few clear explanations of common misbehaviour among secondary school students aged 16-19 years of age in terms of psychological theories. These explanations from the earlier psychologists able to make us understand more about gang violence that is increasing in amount nowadays. 3.0 PSYCHODYNAMIC PERSPECTIVE 3.1 DEFINITION Psychodynamic referred to as an approach to psychology that emphasises systematic study of the psychological forces that underlie human behaviour, feelings and emotions and how they might relate to early experience. It is especially interested in the dynamic relations between conscious motivation and unconscious motivation. It is also used by some to refer specifically to the psychoanalytical approach developed by Sigmund Freud (1856–1939) and his followers, although such use becomes confusing, because some of those followers, in particular, John Bowlby opposed the founding principles of Freud’s theory, forming opposing factions. Bowlby’s attachment theory, still described as ‘psychodynamic’ in approach, is widely considered to be the basis of most current research and to have put the field formerly known as psychoanalysis on a more scientifically based,  experimentally testable, footing. The words psychodynamic and psychoanalytic are often confused. Remember that Freud’s theories were psychoanalytic, whereas the term ‘psychodynamic’ refers to both his theories and those of his followers. Freud’s psychoanalysis is both a theory and a therapy. Sigmund Freud developed a collection of theories which have formed the basis of the psychodynamic approach to psychology. His theories are clinically derived for example based on what his patients told him during therapy. The psychodynamic therapist would usually be treating the patient for depression or anxiety related disorders. Psychodynamic psychology ignores the trappings of science and instead focuses on trying to get ‘inside the head’ of individuals in order to make sense of their relationships, experiences and how they see the world. The psychodynamic approach includes all the theories in psychology that see human functioning based upon the interaction of drives and forces within the person, particularly unconscious and between the different structures of the personality. Freud’s psychoanalysis was the original psychodynamic theory, but the psychodynamic approach as a whole includes all theories that were based on his ideas, e.g. Jung (1964), Adler (1927) and Erikson (1950). 3.2 PSYCHODYNAMIC PERSPECTIVE ASSUMPTIONS Behaviour and feelings are powerfully affected by unconscious motives. Behaviour and feelings as adults (including psychological problems) are rooted in our childhood experiences. All behaviour has a cause (usually unconscious), even slips of the tongue. Therefore all behaviour is determined. Parts of the unconscious mind (the id and superego) are in constant conflict with the conscious part of the mind (the ego). Personality is shaped as the drives are modified by different conflicts at different times in childhood (during psychosexual development). The unconscious is one of the most powerful effects on behaviour and emotion No behaviour is without cause and is therefore determined. Childhood experiences greatly affect emotions and behaviour as adults. The  id, ego and super-ego make up personality  The drives behind behaviour are a) The lift instinct and sex drive b) Death instinct and aggressive drive. Various conflicts throughout childhood development shape overall personality. The psychodynamic perspective asserts that in childhood certain incidents may occur that produce behaviours in adulthood. As children, defence mechanisms are utilized, then as adults behaviours manifest as a result. Examples of defence mechanisms that may be used include: Repression Denial Reaction formation Sublimation Projection Displacement Regression Fantasy Some examples of behaviours and their explanations using psychodynamic perspective include: Obsessive hand washing could be linked to a trauma in childhood that now causes this behaviour Nail-biting may be caused by an anxiety inducing childhood event A childhood event that caused fear in an open space may trigger agoraphobia in an adult Hoarding behaviours could be a result of childhood trauma Number aversion can be an obsessive behaviour perhaps initiated by an incident in childhood development Rituals of nervousness such as completing a task a certain number of times (such as opening and closing a cabinet) could be linked to a childhood situation Skin picking is a compulsion that would be linked to a developmental trauma Another compulsive behaviour is hair plucking Compulsively counting footsteps could be linked to an incident in childhood.  Any irrational behaviours can be blamed on childhood instances of trauma or development Neurotic behaviours can be linked to childhood development issues or interruptions Sexual compulsions or related sexual behavioural issues are linked at the sexual development stage using the psychodynamic perspective. 3.3 HISTORY OF THE PSYCHODYNAMIC PERSPECTIVE Anna O a patient of Dr. Joseph Breuer, who is Freud’s mentor and friend, from 1800 to 1882 suffered from hysteria. In 1895 Breuer and his assistant, Sigmund Freud, wrote a book, Studies on Hysteria. In it they explained their theory that says every hysteria is the result of a traumatic experience, one that cannot be integrated into the person’s understanding of the world. The publication establishes Freud as â€Å"the father of psychoanalysis.† By 1896, Freud had found the key to his own system, naming it psychoanalysis. In it he had replaced hypnosis with â€Å"free association.† In 1900, Freud published his first major work, The Interpretation of Dreams, which established the importance of psychoanalytical movement. In 1902, Freud founded the Psychological Wednesday Society, later transformed into the Vienna Psychoanalytic Society. As the organization grew, Freud established an inner circle of devoted followers, the so-called â€Å"Committee†. Freud and his colleagues came to Massachusetts in 1909 to lecture on their new methods of understanding mental illness. Those in attendance included some of the country’s most important intellectual figures, such as William James, Franz Boas, and Adolf Meyer. In the years following the visit to the United States, the International Psychoanalytic Association was founded. Freud designated Carl Jung as his successor to lead the Association, and chapters were created in major cities in Europe and elsewhere. Regular meetings or congresses were held to discuss the theory, therapy, and cultural applications of the new discipline. Jung’s study on schizophrenia, The Psychology of Dementia Praecox, led him into collaboration with Sigmund Freud. Jung’s close collaboration with Freud lasted until 1913. Jung had become increasingly critical of Freud’s exclusively sexual definition of libido and incest. The publication of Jung’s Wandlungen und Symbole der  Libido, known in English as The Psychology of the Unconscious, ted to a final break. Following his emergence from this period of crisis, Jung developed his own theories systematically under the name of Analytical Psychology. Jung’s concepts of the collective unconscious led him to explore religion in the East and West, myths, alchemy and later flying saucers. Anna Freud, Freud’s daughter, became a major force in British psychology, specializing in the application of psychoanalysis to children. Among her best known work is The Ego and the Mechanism of Defence (1936). 3.4 PSYCHODYNAMIC STRENGTH AND LIMITATIONS STRENGTHS LIMITATIONS Made the case study method popular in psychology Defence mechanisms Free association Projective Tests (TAT, Rorschach) Highlighted the importance of childhood Case studies are subjective and cannot generalize results Unscientific (lacks empirical support) Too deterministic (little free-will) Biased sample Ignores meditational processes (e.g. thinking, memory) Rejects free will Difficult to prove wrong 3.5 PSYCHODYNAMIC PERSPECTIVE CRITICISMS The greatest criticism of the psychodynamic approach is that it is unscientific in its analysis of human behaviour. Many of the concepts central to Freud’s theories are subjective and as much impossible to scientifically test. For example, how is it possible to scientifically study concepts like the unconscious mind or the tripartite personality? In this respect, the psychodynamic perspective is difficult to prove wrong as the theories cannot be empirically investigated. Furthermore, most of the evidence for psychodynamic theories is taken from Freud’s case studies, e.g. Little Hans, Anna O. The main problem here is that the case studies are based on studying one person in detail and with reference to Freud the individuals in question are most often middle aged women from Vienna for instance his patients. This makes generalizations to the wider population difficult. The humanistic approach makes the criticism that the psychodynamic perspective is too deterministic that it is leaving little room for the idea of personal agency. 3.6 PSYCHODYNAMIC THEORY OF GANG VIOLENCE The psychodynamic theory places its emphasis on the notion that one of the main causes of gang violence is children’s abnormal personalities that were created and developed in earlier life. Since then these â€Å"unconscious mental processes† have been controlling the adolescents’ criminal behaviour. The Id is the drive for immediate gratification and can explain gang violence acts. The ego is the realization of real life and helps control the Id. Superego develops through interactions with parents and other responsible adults and develops the conscience of moral rules. This psychodynamic approach states that traumatic experiences during early childhood can prevent the ego and superego from developing properly, therefore leaving the Id with greater power (Champion, 2004). According to psychodynamic theory, whose basis is the pioneering work of the Austrian physician Sigmund Freud, law violations are a product of an abnormal personality structure formed early in life and which thereafter controls human behaviour choices. Unconscious motivations for behaviour come from the Id’s action in response to two primal needs-sex and aggression. Human behaviour is often marked by symbolic actions that reflect hidden feelings about these needs. For example, stealing a car may reflect a person’s unconscious need for shelter and mobility to escape from hostile enemies or perhaps an urge to enter a closed, dark, womblike structure that reflects the earliest memories (sex). All three segments of the personality operate simultaneously. The Id dictates needs and desires, the superego counteracts the Id by fostering the feelings of morality and righteousness and the ego evaluates the reality of a position between these two extremes. If these two components are properly balanced, the individual can lead a normal life. If one aspect of the personality becomes dominant at the expense of the others, the individual exhibits abnormal personality traits. A number of psychologists and psychiatrists expanded upon Freud’s original model to explain the onset of gang violence among adolescents. Erik Erikson speculated that many adolescents experience a life crisis in which they feel emotional, impulsive and uncertain of their role and purpose. He coined the phrase identity crisis to denote this period of inner turmoil and confusion. Erikson’s approach might characterize the behaviour of youthful drug abusers as an expansion of confusion over their place in society, their inability to direct behaviour towards useful outlets and perhaps their dependency on others to offer them solutions to their problems. Psychoanalyst, August Aichorn, found in his classic work that social stress alone could not produce such an emotional state. He identify latent delinquencies which means youths whose troubled family leads them to seek immediate gratification without consideration of right and wrong or the feelings of others. In its most extreme form, gang violence may be viewed as a form of psychosis that prevents delinquent youths from appreciating the feelings of their victims or controlling their own impulsive needs for gratification. Psychodynamic theory holds that youth involvement in gang violence is a result of unresolved mental anguish and internal conflict. Some children, especially those who have been abused or mistreated, might experience unconscious feelings associated with resentment, fear and hatred. If this conflict cannot be settled, the children may regress to a state in which they become Id dominated. This regression may be considered responsible for a great number of mental diseases, from neuroses to psychoses, and in many cases it may be related to criminal behaviour. Adolescents in gangs are Id-dominated people who suffer from the inability to control impulsive drives. Just because they suffered unhappy experiences in childhood or had families who could not  provide proper love and care, causing them to suffer from weak or damaged egos that make them unable to cope with conventional society. Adolescent antisocial behaviour is a consequence of feeling unable to cope with feelings of oppression. Involvement in gang violence actually allows youths to strive by producing positive psychic results, helping them to feel free and independent, giving them possibility of excitement and the chance to use their skills and imagination; providing the promise of positive gain, allowing them to blame others for their predicament (for example, the police) and giving them a chance to rationalize their own sense of failure. The psychodynamic approach places a heavy emphasis on the family’s role. Gangs frequently come from families in which parents unable to provide the controls that allow children to develop the personal tools they need to cope with the world. If neglectful parents fail to develop a child’s superego adequately, the child’s Id may become the predominant personality force, the absence of a strong superego results in an inability to distinguish clearly between right and wrong. In fact, some psychodynamic view gangs as motivated by an unconscious urge to be punished. These children feel unloved, assume the reason must be their own inadequacy, hence they deserve punishment. Later, the youth may demand immediate gratification, lack of compassion and sensitivity for the needs of others, disassociate feelings, act aggressively and impulsively and demonstrate other psychotic symptoms. According to the psychodynamic approach, gang violence is a function of unconscious mental instability and turmoil. People who have lost control and are dominated by their Id are known as psychotics, thus causing their behaviour be marked by hallucinations and inappropriate responses. Megargee’s ‘overcontrolled’ violent offender Megargee (1966) documented a series of cases of gang violence carried out by people who were regarded as passive and harmless. For instance, an 11 year-old boy who stabbed his brother 34 times with a steak knife was described as polite and softly spoken with no history of aggression. Megargee argued that such cases represent a distinct sub-group of violent offender criminological psychology. Psychodynamic theories of offending Aidan Sammons whose shared characteristic is an apparent inability to express their anger in normal ways and who eventually ‘explode’ and release all their anger and aggression at once, often in response to a seemingly trivial provocation. Freudian formulations like Megargee’s are unfashionable nowadays and more research attention is given to the majority of violent offenders, whose problem is generally a lack of inhibition of their anger, rather than too much inhibition. Nonetheless, there is evidence that a subset of violent offenders follow the pattern described by Megargee. For example, Blackburn (1971) found that people convicted of extremely violent assaults tended to have fewer previous convictions and scored lower on measures of hostility than those convicted of moderately violent assaults. However, the existence of such a group does not in itself show that Megargee was correct about the underlying mechanisms responsible.

Thursday, August 29, 2019

2. What were the greatest achievements of the Italian Renaissance Essay

2. What were the greatest achievements of the Italian Renaissance Explain your answer with reference to at least three works of art or literature - Essay Example Artists such as Leonardo da Vinci, Raphael, and Michelangelo thrived during this period, their works being considered masterpieces to this day. The works of the trio form the backbone of the Italian Renaissance and some of these shall be considered in this essay. One of the best-known works of the Italian Renaissance, and what can be considered one of its best accomplishments, is the fresco The Triumph of Galatea. This is a masterpiece by Raphael, which he painted for the Villa Farnesina, and is based on Greek mythology (Bruce 346). It is a depiction of how the Nereid Galatea became involved in a love situation with a shepherd. While this fresco is based on the mythology, it depicts a sight where Galatea is surrounded by humanoid sea creatures. This fresco is deemed one of Raphael’s supreme masterpieces whose meaning has been subject to speculation for a long time. The second, and perhaps the most well-known, work of art of this period is Mona Lisa, by Leonardo da Vinci. This painting is not only famous, but many books, songs, and poems have been written concerning it. This is because of the famed mystery, which the painting seems to carry with it. People who have visited it or viewed it have often wondered what da Vinci’s inte ntion for painting it was. While some people believe that it is just a regular painting, others have come up with theories concerning it, including that it holds a revered religious secret. The topic of the painting has an indistinct expression on her face. This expression has kept people interested in the painting for a long time, as each attempt to decipher its true meaning (McMullen). Art scholars continue to study it as ever-increasing theories, and myths develop around it. One of the most renowned pieces of art from the Italian Renaissance is the statue David, a monument by the sculptor Michelangelo, which is a representation of Biblical David, who was a favorite subject of Florentine artists, standing nude

Wednesday, August 28, 2019

What is Entreprenurship Essay Example | Topics and Well Written Essays - 250 words

What is Entreprenurship - Essay Example Therefore, by exploring the behaviours of Branson, there are substantial skills that can be identified in order to determine the definition of entrepreneurship. Branson managed to establish the Virgin Group through targeting the business verticals, which are not run appropriately by other people, and he is motivated by the compulsive desire to do things in a way that he believed they should be done. In this case, there are two traits that have been identified, which are the ability to identify an opportunity, confidence and self-determination. He is also adventurous given that Virgin Company is an adventurous venture, and this has contributed to the spirit of building the brand and the company. The other characteristic of an entrepreneur is breaking rules, which is an attribute, which describes the difference between Branson’s entrepreneurial philosophies. In this case, breaking the rules refers to the willingness to experiment in numerous instances in order to learn a something for the experience. In conclusion, the paper has described entrepreneurship using the Branson’s personal traits as a successful

Tuesday, August 27, 2019

Annotation Assignment Example | Topics and Well Written Essays - 750 words - 2

Annotation - Assignment Example Nonetheless, the other authors support a balance between prohibition and legalization while Angela Hawken advocates full legalization. One possible bias of this book is when Caulkins implies that the responsible majority users of marijuana should sacrifice their fun in order to aid the irresponsible minority. Nevertheless, he does not prove that prohibition has protected the minority irresponsible users. The article is based on the gateway hypothesis. It researches the prevention or invention and genetic factors of using other prohibited drugs after using marijuana. The gateway hypothesis implies that a marijuana user will commence using more lethal/ hard drugs at some point in their life. According to the study, marijuana users are most likely to try heroin and get addicted to it. As such, marijuana use makes it possible for the user to advance to more lethal and dangerous drugs. The authors used adolescents as part of the study. The study is biased since correlation is not always cause. Marijuana typically precedes rather than follow the initiation into other illegal drug use. However, alcohol use and underage smoking precede the use of marijuana. Therefore, marijuana is not the first gateway to illegal drug use. Khatapoush, Shereen, and Denise Hallfors. "â€Å"Sending the wrong message†: did medical marijuana legalization in California change attitudes about and use of marijuana?." Journal of Drug Issues 34.4 (2004): 751-770. The article suggests that the recent policy changes in California have had a minimal impact on the attitudes and behaviour related to marijuana. The authors in their study to assess and analyse the effect of legalizing medicinal marijuana among the youth used telephone survey data. Consequently, they found out that some marijuana behaviour and attitudes did change after proposition 215 in 1996 was passed. Conversely, marijuana use did not increase. The major possible bias of the study is that sanctioning the use of

Monday, August 26, 2019

Individual and Organizational Knowledge Interface Term Paper

Individual and Organizational Knowledge Interface - Term Paper Example †¢Ã‚  The Development of Organizations’ personnel in monetary terms and in terms of time spent upon their grooming with respect to the organization’s environment is one of the foremost IT management requirements of present day. The ongoing advancements in the field of Information and Communications technology make it essential for businesses to remain equipped with the latest technologies and trends related to IT Management.   It is required that in order to do the best possible job, the business should budget for training and developing their staff and encouraging it to participate in the training lessons whenever possible. †¢Ã‚  Staff Familiarization is another essential phenomenon. The routines of the staff should be made familiar to the management. This way, better cordial relation is possible which in turn enhances the knowledge sharing paradigm within the organization. †¢Ã‚  Communication Flow is essential. The better the flow of communication wit hin an organization, the better is the adaptation to ever growing technical trends and scenarios. It should be ensured that communication should flow freely and easily between management and workers. Information should not be hoarded at different levels of an organization. Embedding of better technical features is more likely to easy flow of information.†¢Ã‚  Adapting to Best IT Practices. The best IT practices suitable to the environment of the organization should be assessed, applied and understood.... Information should not be hoarded at different levels of an organization. Embedding of better technical features is more likely to easy flow of information. Adapting to Best IT Practices. The best IT practices suitable to the environment of the organization should be assessed, applied and understood. The current stature of the company should be assessed against them from time to time and the required IT related improvements should be incorporated in order to keep up with growing business and consumer needs and requirements. SIGNIFICANCE OF DATA MODELING IN DATABASE ADMINISTRATION AND MANAGEMENTS Data Modeling is the arena that is responsible for handling the management of data within an organization. In the simplest of terminologies, data modeling refers to the way in which data is maintained within a database. Data, as mentioned by Teorey and Lightstone in their book ‘Database Modeling & Design: Logical Design’ (2005) â€Å"is the smallest named unit of  data  that has meaning in the real world†. With respect to each corporate arena all data that has meaning for it is integral to it. The better managed the data of an organization is, the better is its overall performance and operation. Since, â€Å"A  data model  describes how the data in an information system is represented and accessed.† (Oppel, 2009) the information systems within an organization are mainly base on how well the data models incorporate the data used by them. The better the modeling of data is, the better is the running of information systems and thus targeted and efficient the output. Since data and its modeling transcend the systems within a business environment, the entire roots of the tasks of a manager and database administrator are directly

Sunday, August 25, 2019

The relevance of portfolio theory and the capital asset pricing model Essay

The relevance of portfolio theory and the capital asset pricing model to an investor or fund manager in the equity markets - Essay Example rd from the portfolio theory and further evaluates the risks that an investor will be bearing upon buying a portfolio; under the assumption that this is risk that the investor will have to bear no matter what he does. Fund managers and investors need to then decide whether or not an investment is worth making based on this information. Although the two help bring to light the various aspects of market risk, they are still not a 100 percent reliable which will be further discussed. The portfolio theory revolves around the selection of the best investment strategies in terms of risk; i.e. it focuses on the risk surrounding the equity market and the return or gains from any transactions. In essence an investor or fund manager would need to look at the portfolio theory to make a clear contrast between what is risk and what is simply uncertainty. The fact is that any discussion of an equity market will need some insight on the aspects of the risk associated with any venture or portfolio. This is imperative due to the nature of the equity business which is primarily based on risk itself, and also has a hand in defining the way market values of investments are given foundation (Brentani 2004). It is the idea of risk versus return which is mainly what attracts an investor or fund manager to a portfolio. Theoretically speaking one would want to create such a portfolio which offered an insight into the best risk-return opportunities against the given set of risk constrictions. This would enable the investor to increase the chances of maximizing his returns. An efficient portfolio will not only help him do this but also attain a higher return as opposed to a lower one. Practically speaking, using the portfolio theory is important because the outcome of risk and return is unknown. It is because of risk that there is more than one possibility for an investor or fund manager; this includes returns that are on the mark, higher and even lower than previously expected. Without

Saturday, August 24, 2019

Major and Career Research Paper Annotated Bibliography

Major and Career Research Paper - Annotated Bibliography Example The researchers noted that shortage in logistics contributed to the major challenges affecting the supply chain management process. The financial challenges contributed to the increase in demand and supply of goods and services. These shortages are operational and affect planning and controlling of supply chains. Finally, Andreas and Robert noted that the cost of logistics remains a major influence in the management of supply chains. Gadde, Hakansson and Persson focused on the supply chain companies. Their book provided a summary of twenty-five businesses in the area of selling goods and services. The book mainly focused on current issues connected to the supplier of goods and services so as to produce effective supply chain networks. The report is separated into three sections, and it started by exploring the challenges that affect the supply chain management. The second section of the book explored the different supply chain networks from the sellers’ interactional perception. The part looked at the selling activity and the structures of supply chain. The third part presented the boundaries in terms of the relationship between the supply networks, and how they can be designed. Finally, the book presented the efficiency of supply chains and how they can form a proper unit of analysis for example, several transactions, single transaction with one give supplier or different suppliers at a given system leve l. These researchers completed their project in four stages whereby they conducted a literature review, interviews, survey, and conducted an analysis of the findings as well as a report. Findings indicated that with the increase in new technologies, different supply companies are currently identifying the need of investment in modern technology. They recommended that organization should adopt strategies that can adjust quickly with the increase in technological development. Organizations should also allow suppliers to make their own decisions

Friday, August 23, 2019

Midterm1 Assignment Example | Topics and Well Written Essays - 750 words

Midterm1 - Assignment Example These abiotic factors are broadly classified  into three categories climatic factors, edaphic factors and inorganic substances. Climatic factors include the climate regime and physical factors of the environment such as humidity, atmospheric temperature, wind and light among others. Edaphic factors are related to the structure and composition of soil including its chemical and physical properties such as soil profile, soil type, minerals, soil water, soil organisms and organic matter. The last category of inorganic and organic substances include; water, sulphur, phosphorous, proteins, carbohydrates, lipids and human substances. Biotic factors comprise of the living part of the ecosystem. They include any living thing that affects another organism (eoearth.org). Biotic community is divided into heterotrophs, authotrophs and saprotrophs. Autotrophs also known as producers or convertors are photosynthetic plant, generally bearing chlorophyll, which produces high-energy complex organic compounds form inorganic raw materials. In terrestrial ecosystem, autotrophs are mainly rooted plants. Floating plants e.g. phytoplankton and shallow water rooted plants are the autotrophs in aquatic ecosystem. Heterotrophs are known as consumers, which are generally animals feeding on other organisms. They consist of mainly carnivores and herbivores. Lastly, saprotrophs break down complex organic compounds of dead matter. ... These roles are because of natural processes of a total ecological sub-system of that it is a part. In turn, this natural processes result to complex interactions among abiotic and biotic components of ecosystems through the general driving forces of energy and matter (Fisher al et, 648). Ecosystem has four basic functions; regulatory functions, habitat functions, production functions and information functions. Regulatory group of functions relates to the capacity of both natural and semi-natural ecosystems to regulate essential ecological processes by bio-geochemical cycles and other biosphere processes. Natural ecosystems provide habitat functions. Wild plants and animals take refuge in the natural ecosystem. Consequently, this contributes to conservation of genetic and biological diversity in the evolutional process. It also regulates change and stability of a region. Another function is the production function. Photosynthesis and nutrient uptake by autotrophs converts carbon diox ide, energy, nutrients and water into a wide variety of carbohydrate structure, which are later used by secondary producers to make an even bigger variety of living biomass. This diversity in structure of carbohydrate provides many ecosystems with goods for human consumption. Lastly natural ecosystem provide an essential ‘reference function’ and lead to maintenance of human health by providing opportunities for spiritual enrichment, reflection, aesthetic and recreation experience. The Diablo Range is a mountain range, located in the eastern San Franciso Bay area south to the Salinas Valley area of northern California. It is perceived as an intact ecosystem has it has both biotic and abiotic

Thursday, August 22, 2019

Quality 2 Essay Example | Topics and Well Written Essays - 2750 words

Quality 2 - Essay Example Earlier most goods and services were produces by the same person to meet quality. Production of a lot of brought many people to work at various production states to ensure quality products. In late 1800s businessmen like Fredrick Taylor and Henry Ford identified major limitation that affected mass production. Taylor instituted quality department that dealt with correcting errors and ensuring quality production whereas Ford traced on standardization quality to ensure all organization produced products fit for human consumption Arnaboldi, M., Azzone, G., Savoldelli, A. (2004). Execution of quality in organization was the duty of quality departments. This mainly did inspection to ensure products were defect free. In the second half of 20th centaury, quality was emerged as a profession and a managerial tool. Over the year's quality developed from simple control to engineering then to system engineering. Later in 1990s quality system emerged these are the quality management system and the total quality management Bryman, A., Stephens, M., Campo, C. (1996). Quality is a depiction of the culture, attitude and ethics of an organization that aims at providing quality services and goods to its customers to satisfy them. The cultural part calls for adoption of quality system aspect in all the operations of an organization, Bryman, A., Stephens, M., Campo, C. (1996). A quality management system (QMS) These are set of rules or policies necessary for planning production of services and products in the business. QMS incorporates various forms of internal processes within the business environment and offers a implementation approach.QMS enables the organization to identify measures, controls an improve the various processes with a business that contributes to prosperity of the organization. In short QMS assists organizations to identify defects and prevent them from happening (Hill Stephen, 1991) Quality management system helps the organization to; accomplish high reliability in the operations they are engaged in including providing quality products or services Decrease high costs of operations. increase competence and sufficient by humanizing the use of time and the available resources identifies and improves customer satisfaction Market the organization to the rest of the world. Discover other areas that they can engage in control growth more efficiently by making it easier to incorporate new employees frequently improve the products, processes and systems Total management quality (TQM) This is the process that ensures the totality of quality management in all departments within an organization. It entails planning, leading, managing and controlling. It called so because it ensures high output and meets the satisfaction of stakeholders including clients, suppliers and even employees, Bryman, A., Stephens, M., Campo, C. (1996). In general TQM aims at; Helping the management to make well informed decision that will help in the overall prosperity of the organization. Help the organization as a whole to meet the needs and desire of the customer by carrying out market research before it embarks on production. Ensuring that there is bottom top problem solving abilities. Participation of all the stakeholders of the organization in the operations to ensure everyone is at per with the organizations performance. Ensures on

Favourite Hoiliday Essay Example for Free

Favourite Hoiliday Essay The word Diwali is an incorrect form of the word Dipawali, which means Rows Of Light. People will celebrate this festival during Karthik (October- November). All Indians will celebrate this festival but different religious people have various opinions about it. The Hindhus celebrates this festival as a gesture of their joy because when Sri Ramachandra return to Ayodhya after 14 years exile in the forest following his victory over evil demon Ravana in a war and signifies the victory of good over evil. This is a day for which every child waits through out the year. Though it’s a festival for all people it is very interesting to young people because they savor most on this day. On this occasion everyone will like to wear traditional dresses. On this day my house is completely decorated with flowers ,candle lights and elecronic bulbs so it looks like a heaven twinkling with sparkling lights. I initiate shopping around 1 month before the festival, because it is not only a festival for us it’s a day where all of our cousins compete to look pretty, so it resembles the fashion show. Everyone will peer like angels dropped from heaven, I think two eyes are not enough see the beauty of them. On this ceremony my mother will prepare delicious food, the menu itself is really mouth watering. My favourite dessert is double ka meeta it’s very rich and delicious. The ingrediants added in this are bread, milk, sugar, butter, almonds and cashews. One of the only thing I miss about Hyderabad apart from people is food especially this dessert nothing beats this taste. when I eat this dessert it definitely comes into my dream because its taste is that superb. The thing that which sounds very interesting and elite part of this festival is bursting of crackers. There are plenty kind of crackers, but I like rocket and Vishnu-bar most. I am really excited while bursting rocket because it directly goes upwards with vivid colors and zooyi sound. It’s really a beautiful scene when all the crackers bursted and emits bright colours with variety sounds. In the night time the whole city looks like a stars in the sky. All in all, I go to bed with all these memorable moments in my mind. It brings a wonderful feeling into the heart and souls of every man, woman and  child. Everyone must celebrate the festival and savor the fresh feeling in it. New clothes, dishes, sweets, fun and crackers all these are part of this festival.

Wednesday, August 21, 2019

Dementia Care Training for Nurses

Dementia Care Training for Nurses Improving Dementia Care Training for Registered General Nurses and Adult Student Nurses: examining the need, efficacy, content and barriers. This Independent Project aims to explore the efficacy of current provision for Dementia care training for Adult branch Student Nurses and Registered General Nurses (RGN’s). A range of audits and research literature on this area of special interest will be examined to obtain a better picture of the situation with an aim to discover a recommendation for whether more training in this area is needed. The content and provision needs of training will also be explored with barriers to effective care and training critically analysed. Introduction Dementia is an umbrella term used to describe a wide range of symptoms caused by certain diseases or conditions associated with decline in a person’s cognitive abilities such as memory, personality changes, impaired reasoning and use of verbal language, which are severe enough to reduce a person’s ability to perform every-day activities (Chater and Hughes 2012). The most common of these diseases is Alzheimer’s reference. Dementia is progressive and incurable, therefore it is vital these people are supported and cared for by nurses who have been trained with the skills and knowledge needed to deliver high quality evidence based care. ADD IN STRONG REFERENCE THAT TRAINING IMPROVES QUALITY EVIDENCE-BASED CARE. There are currently 800,000 people with dementia living in the UK, with these figures expected to rise by 40% over the next 12 years and by 156% over the next 38 years due to an ageing population. Evidence from the Department of Health (2012) shows that 95% of these people are over the age of 65 and are therefore more likely to have complex medical needs. As a result; they spend increased time in acute hospital wards under the care of RGN’s, making training in this area for this group of health professionals a contemporary issue which needs exploration (Department of Health 2012) . The rising number of patients with dementia presents a challenge for all acute hospital trusts and many different health professionals. Such patients experience higher mortality rates and are more likely to have longer lengths of stay than others, they are also more at risk of falls and other incidents whilst in hospital (Cornwell et al 2012). Aside from the cost implications to the NHS when trusts do not get to grips with this challenge, the patients are not getting appropriate care – they are not ‘living well with dementia’ (Department of Health 2009). The National Dementia Strategy set a clear vision that people with dementia and their carers should be helped to live well with dementia, no matter what the stage of their condition or where they are in the health and care system. Through examination of Dementia training efficacy, it is hoped a recommendation will be made to improve the lives of those living with Dementia through changes in Dementia Care training for RGN’s. Following initial exploration of evidence available surrounding Dementia care training, the following issues will be addressed and critically analysed: Why is Dementia Training for RGN’s needed? How can the efficacy of training on Dementia care for RGN’s be improved? What content should be used in Dementia care training? What are the barriers to implementation of Dementia care training? Why is Dementia Training for RGN’s needed? Patients admitted to acute hospital wards with dementia have comparatively poorer outcomes regarding length of stay, mortality and further institutionalism (DH 2009, Alzheimer’s Society 2012). In addition, this group of patients place higher demands for nursing care, are more likely to functionally decline during admission and suffer increased rates of delayed discharge. This can result in permanent decline in health and added costs to NHS trusts (Mukadam and Sampson 2011). Though thought by many to be due to their complex health needs (REFERENCE), The Health Foundation (2011) has suggested a significant reason for these poorer outcomes is lack of professional understanding by RGN’s in providing appropriate care. Improvement in Dementia care is currently a nationwide health initiative reference. National audits over the last 5 years have recommended implementation of dementia services such as dementia lead nurses, standardised assessment and care protocols and compulsory staff training (DH 2009, Harwood et al. 2010, Thompson and Heath 2013, RCP 2013). Yet there are many recent reports of poor and sometimes negligent care suggesting these recommendations have not yet been followed or implemented (Leung and Todd 2010, Francis 2013, RCP 2013). Results from the National Audit of Dementia Care in general hospitals indicated that nurses working on acute wards rated significantly lower adequacy of training than nurses working on care of elderly wards. Other audits such as Counting the Cost report (Alzheimer’s Society 2009) indicated that more than half of nurses had not received any pre or post registered dementia training. Elliot and Adams (2011) further identify the lack of understanding around Dementia, meaning the needs of older people with Dementia are not addressed in many acute hospital settings. As can be seen, the need for specific training in Dementia care for RGN’s is strong. There is evidence to support positive influence on effective care with training. The National Audit of Dementia Care in General Hospitals (NAD 2012) was commissioned by Healthcare Quality Improvement Partnership to address the concerns of care for people with dementia (Tadd et al. 2011). These audits aimed to identify hospital’s provision of assessment, care models and staff training. Following the 1st round of audits in 2011 a report by Thompson and Heath concluded that the main barriers to providing good care were lack of understanding of the condition, not enough time to care and failing to communicate with patients. Improvements are not as forthcoming in dementia assessment on admission to acute wards. Results from the 2nd round audit of NAD acknowledge that there had been improvement in implementation of staff training frameworks in hospitals since the 1st round audit and represented an improvement in care as a result (Royal College of Psychiatrists 2013). The 2nd round report highlighted that approximately 75% of hospitals now provide dementia awareness training to nurses, although almost 50% are still failing to provide dementia awareness training as part of induction programmes. The report suggests that further improvement is required in providing better and more consistent staff training, as despite some progress, there appears to be a gap between actual training and written reports (RCP 2013). As a result, the recommendations outlined and analysed in this Independent project may be of some use in raising positive statistics. How can the efficacy of training on Dementia care for RGN’s be improved? It is the evaluation of this evidence which aims to generate key recommendations for provision of Dementia care training. Elliot and Adams (2011) were able to show improvements in needs met where specific education for RGN’s is provided by a Dementia Nurse Specialist (recommendation number 1). This shows the role of the Dementia Nurse Specialist to be vital in improving the efficacy of Dementia training and infiltrating best possible evidence-based care into clinical practice. However, despite this, the minimal numbers of Dementia Nurse Specialists currently practicing has to be identified as a limiting factor. In many trusts and academic institutions, there is no availability for a Dementia Nurse Specialist to provide training, therefore limiting efficacy even when extensive training is to be provided (Knifton et al. 2014). In terms of training content, it is well documented that evidence used should be reliable and credibly underpin clinical practice as this promotes evidence –based practice and better health outcomes (Jeffs et al. 2013). Evidence based practice is vital in all nurses’ roles (REFERENCE NMC CODE). REFERENCE suggests up to date qualitative and quantitative research is the only knowledge and information base which should be used to allow best care to be provided, hence placing important value of increased use of evidence based research in training sessions. Currently, Moyle et al. (2008) suggests the lack of research used to underpin Dementia training for RGN’s is limiting ability to not only provide best care but also identify those living with Dementia (Chang et al. 2009) RECOMMENDATION 2. However, barriers to evidence based care remain even when high quality evidence is used to support training. Smith-Strom and Nortvedt (2008) have identified that RGN’s ofte n find evidence difficult to interpret and evaluate while Oermann (2009) suggests very little of the content is retained to be implemented into practice. This suggests RGN’s may also need training on evidence based practice and processing research (REFERENCE). Gerrish (2008) suggested the knowledge and skill of the individual nurse prior to receiving specific training heavily influenced their ability to improve their practice following. This suggests multiple training sessions on Dementia may be needed before practice can be changed and improved (REFERENCE). RECOMMENDATION 3. What content should be used in Dementia care training? Tadd et al. (2011) explain that one reason for increased functional decline is that care of patients on acute wards is prioritised from the perspective of the medical condition for which they have been admitted, often overlooking their mental health condition. Most acute wards follow rigid, task driven routines such as drug rounds, meal times and washing, while staff lack the necessary skills required to provide proficient dignified care. This form of nursing can cause increased anxiety and delirium resulting in poorer outcomes for individuals (Tadd et al. 2011, Calnan et al. 2013). Alzheimer’s Society (2009) report that patients admitted to acute hospital wards for longer periods are more likely to suffer from permanent worsened effects of dementia and physical health. They are more likely to receive prescribed antipsychotic drugs and to be discharged to residential care rather than their home (Thompson and Heath 2013). Leung and Todd (2010) acknowledge that specialist services do exist in some trusts and that training in managing behaviour, using life stories and implementing dementia care mapping are all good techniques that can help nurses to improve quality care. Dementia care mapping is an observational method of recording interactions that take place between individuals and nurses over a period of time (Ervin and Koschel 2012). This enables evaluation of what works and doesn’t work for patients, it is a useful way of tailoring person-centred care to help staff understand the experience of dementia from the patient’s perspective while rating quality of care given (National Institute for Health and Clinical Excellence and Social Institute for Care Excellence 2007) (NICE-SCIE). Alzheimer’s Society (2013) suggest that nurses must challenge their task driven ward environment and provide a more flexible approach providing care from the patient’s perspective as this is achievable and beneficial to patients. Leung and Todd (2010) reported that most nurses have received little or no training and are ill equipped to deal with the many challenges that face both patients and nurses. Additionally NICE (2013) state that nurses suggest dementia education programmes should include identifying signs and symptoms, communication and person-centred care methods, treatment to include medicine administration and how to monitor side effects, particular emphasis was placed on requirement to assess pan. Nurses also suggested that learning about the impact of dementia on the individual and managing challenging behaviour would be useful. Dementia training is not a compulsory element of the pre-registered nursing curriculum although this has been recommended to the Nu rsing and Midwifery Council (NMC) by several national organisations. (NICE-SCIE 2007, Alzheimer’s Association 2009, All-party Parliamentary Group on Dementia 2012, Higher Education for Dementia Network 2014 (HEDN)). The NHS Confederation (2010) recognise that providing dementia training to staff could benefit hospital trusts in several ways. These include nurses being equipped to identify those with dementia, therefore being able to implement care pathways appropriate to patients. Effective management of patients with dementia helps avoid disorientation and anxiousness which could reduce the amount of time spent attending to challenging behaviour and allow staff more time to care for all patients on an acute ward. What are the barriers to implementation of Dementia care training? Even when effective dementia training has been provided, barriers to good quality evidence-based care remain and it is important these do not go unnoticed. Identification and knowledge of these barriers alone can minimise their limiting factor (reference). Acute hospital settings pose many challenges to both patients with dementia and the nurses caring for them. Yet Harwood et al. (2011) report that there is little evidence of research aimed at investigating these challenges and the provision of detailed policies on how to deal with them. Patients with dementia are more likely to find an unfamiliar environment unsettling, frightening and confusing due to the nature of impaired cognitive ability (Moyle et al. 2008). This accounts for literature suggesting that an acute ward environment comprised of identical doorways and bed spaces causes added confusion to patients (Reference). This often creates increased disorientation, aggression or withdrawal (Leung and Todd, Thompson and Heath 2 013). This further challenges the nurse’s role in maintaining nutritional, personal hygiene and drug administration tasks as individuals can no longer respond to familiar faces, environment and daily routines (Tadd et al. 2011). Barriers Overcoming the barriers The government accepts improvements are needed and is pinning hopes on the  £3.8 billion Better Care Fund, which will was launched in April 2015. The pot has been earmarked for joint projects between the NHS and local government to encourage more integrated care. STUDENT NURSES 2015 report: Dementia education to bestandardised at degree level some nursing degrees offer only three hours of dementia education throughout the whole three-year course. How this should change following the dementia core skills framework, but it doesn’t state how many hours students will be required to undertake. Student nurse attitudes towards working with the elderly Future plans for RGN’s HEE 2013 Mandate targets. – ensure that tools and training opportunities in dementia are available to all staff by the end of 2018. Current training requierments of RGN’s in relation to Dementia training References Department of Health (2009) Living well with dementia: a national dementia strategy. The Stationery Office, London. National Institute for Health and Clinical Excellence/Social Care Institute for Excellence guideline (2006) Dementia: supporting people with dementia and their carers in health and social care. NICE/SCIE, London.

Tuesday, August 20, 2019

Relationship between Inflation Rates and Employment

Relationship between Inflation Rates and Employment CHAPTER 1 Gross Domestic Product as an indicator of wealth and therefore quality of life has long been criticized (Mederly, P. and et al. 2003). Gross Domestic Product (GDP) is the value of total production of goods and services in a country over a specified period, typically a year. The gross domestic product (GDP) or gross domestic income (GDI) is a measure of a countrys overall economic output GDP can be determined in three ways, all of which should in principle give the same result. The most direct of the three is the product approach, which sums the outputs of every class of enterprise to arrive at the total. The expenditure approach works on the principle that all of the product must be bought by somebody, therefore the value of the total product must be equal to peoples total expenditures in buying things. The income approach works on the principle that the incomes of the productive factor must be equal to the value of their product, and determines GDP by finding the sum of all producer s incomes (Bureau of Economic Analysis, U.S Department of Commerce, 2007). The most common approach to measure GDP is the expenditure method: GDP= private consumption + gross investment + government spending + (exports à ¢Ã‹â€ imports) GDP = C + I + G + (X-M) (Equation 1.1) An event in 1975 that remind us the current GDP in our country where the Malaysian economy slumped into its great recession, with a GDP growth rate of only 0.8 percent, compared to 8.3 percent in 1974. This is one of the effects of increase in oil prices and then substantial price increase in 1973 were bought about mainly shortage of food and raw materials arising from bad weather and increased aggregate demand (Cheng, M.Y. and Tan,.H.B. 2002). According to the above circumstances occurred in 1975, the researcher has choosing one of variables that may relate with fluctuation of GDP which is inflation rate. Inflation means either an increase in the money supply or an increase in price levels. Generally, when we hear about inflation, we are hearing about a rise in prices compared to some benchmark. The study of the effects of inflation on economic growth continues to be an important and complex topic in economics. If inflation has real economic effects, then governments can influence economic performance through monetary policy (Risso, W.A and Carrera, E.J.S, 2009). Therefore, investigating how inflation affects economic growth pertains directly to the optimal design of monetary policy. Results from such studies are particularly important for economies. Besides the inflation, the researcher has considered total employment as one of the variable in the model since economic growth and employment are correlated between each others. The relationship between unemployment and GDP is called Okuns law. It is the association of a higher national economic output with the decrease in national unemployment. This is because in order to increase the economic output of a country, people will need to go back to work, thus lowering unemployment. In order to support the relationship exist between GDP and employment, the researcher has found out the issue supporting the theory that GDP and employment has a positive relationship between each others. According to Hassan, M.K.H. and et al. (2010), in the period of 1996 -1997, the manufacturing sector experienced a rapid growth producing the employment rate in the sector to grow at 7.7 percent per annum but later declining to negative 3.6 percent in 1998 due to the economic recession. In addition, in year 2000, the Malaysian manufacturing sector contributed 33.4% to gross domestic product (GDP), 85.2% to total export and 27.6% to total employment. 1.2 PROBLEM STATEMENT Inflation is a major source of economic instability because it weakens incentives for work and production, distorts the allocate efficiency of the market mechanism, erodes international competitiveness of the domestic industry, and reduces growth potential. According to study by Fischer and Modigliani (1980) suggested a negative and nonlinear relationship between the rate of inflation and economic growth through the new growth theory mechanism. Furthermore, inflation also damages economic growth by lowering domestic and foreign savings, reducing efficiency of resource allocation, and deteriorating the balance-of payments (Risso, W.A. and Carrera, E.J.S., 2009). According to Cheng, M.Y. and Tan, H.B. (2002), the economy has experienced episode of high (1973-1974, 1980-1981) and low (1985-1987) regimes of inflation, and was able to contain low and stable inflation during the high economy growth period of 1988-1996. The second problem statement that should be concerns since the employment can affect the economic growth and it is important variable to determine the quality of production for national output and next will influence the GDP of our country. For example, in the early 1990s, the unemployment rate increased for about a year following the end of the previous recession. Coming out of a recession, companies are thought to be reluctant to hire many more workers until they are convinced about the sustainability of a new economic recovery while people who had left the labor force during the recession return to seek to find jobs (Seyfried, W.). Therefore, the researcher conducts this research in order to examine the correlation exists between inflation rate and employment with GDP so that we can help the country to mitigate the problem occurs by supporting the governments policies to increase the countrys GDP. In addition, this research also useful since the results of the studies can be used in policys decision for resource allocation in order to accelerate economic growth. 1.3 OBJECTIVES The objectives of the study are to: 1.3.1 Analyze the relationship between Inflation Rate and Gross Domestic Product in terms of magnitude and direction. 1.3.2 Analyze the relationship between Total Employment and Gross Domestic Product in terms of magnitude and direction. 1.4 SIGNIFICANCE OF THE STUDY The significances of this study are as follow: 1.4.1 Researcher This study will help the researcher to complete their course requirement and will be as guidelines for their field of work in the future. The researcher can gain many experiences in order to complete this research. There are lot of weaknesses may be obtained and this will encourage the researcher to provide the better research in the future. Future researcher will know and more understanding about gross domestic product when conduct this research. It will give the knowledge to the researcher to identify the correlation exist between inflation rate and employment and it always make the researcher briefing to know deeply and applied the study. 1.4.2 Organization This study might help the organization in analyzing the countrys economic condition in order to prevent and reduce the risk during the inflation and know the effects of the crisis occurs to them. This study also may give some guidance to them to protect their company and industry itself. 1.4.3 Public This study can inform and gives some knowledge to the public the relationship between economic growth, inflation rate and employment. They also can make preparation to face the increasing in inflation rate and able to survive in that situation. 1.5 SCOPE OF THE STUDY The researcher chooses to conduct the research about GDP in Malaysia from 2000 until 2010 In this study, the researcher wants to determine the correlation exist between inflation rate and employment with GDP in Malaysia. It is important because as economic planners and forecasters used the GDP per capita in monitoring economic growth trend for time series. The collection of data of GDP, inflation rate and total employment were collected from Department Of Statistics Malaysia in quarterly basis. 1.6 THEORETICAL FRAMEWORK Figure 1.1: Theoretical Framework INFLATION RATE GROSS DOMESTIC PRODUCT EMPLOYMENT RATE RATE Independent variables Dependent Variable Figure 1.1 represents the dependent variable and independent variables in this study. The function of theoretical framework has been clarified by Sekaran, U. (2003) which is a conceptual model of how one theorizes or makes logical sense of the relationship among the several factors that have been identified as important to the problem. Figure above clearly discuss the correlation between Gross Domestic Product which is variable primary to the researcher while Inflation Rate and Employment act as independent variable which is influences the dependent variable. 1.7 HYPOTHESIS In classical test of significant, two kind of hypothesis are used. They are Null Hypothesis and Alternate Hypothesis. Hypothesis is a conjectural statement that describes the relationship among variable even negative or positive. Null hypothesis which is represent by H0 symbol to show that the relationship between independent and dependent variable is not exist. However alternate hypothesis is representing by H1 symbol to show that the relationship is existing between both dependent and independent variable. According to Sakaran (2004), a hypothesis defines as a logically conjectured relationship between two or more variables expressed in the form of testable statement. Relationship a conjectured on the basis on the network of associations established in the theoretical framework formulated for the research study. There are two hypotheses that can describes the correlation exists between dependent variable and independent variables. Therefore the hypothesis that can be tested as follows: Inflation and GDP H0: there is no significant relationship between inflation and GDP. H1: there is a significant relationship between inflation and GDP. Employment and GDP H0: there is no significant relationship between employment and GDP. H1: there is a significant relationship between employment and GDP. 1.8 LIMITATION / CONSTRAINTS The limitations / constraints are: 1.8.1 Time constraint The length of time is limited since the researcher does not have much time to make detailed research. The time provided only three months and the researcher need to divide time properly to complete the research because the process of collecting data is quite difficult. 1.8.2 Cost constraint The cost involves is quite high since as a student, the researcher only depend on the loan applied. Examples of cost involve in order completing this research such as cost of printing, cost of maintaining the laptop, cost of surfing the internet and etc. 1.8.3 Data constraint Since the researcher use the secondary data, the collection of data that have been publish are so limited and the related material are not very supporting the topic of research. 1.8.4 Lack of experience The researcher is less of experience in conducting the research therefore needs to refer the researchers advisor to process the data and learning the skill that needed as a good researcher. CHAPTER 2 LITERATURE REVIEW 2.1 DEPENDENT VARIABLE 2.1.1 GROSS DOMESTIC PRODUCT (GDP) Generally, according to Chan, W.W. and Lam, J.C. (2000), gross domestic product is a common measure of the economic well-being of a society. When government officials plan for the future, they consider the various economics sectors contributed to the gross domestic products. In the other study by Ivanov, S. and Webster, C. (2007), they use the growth of real GDP per capita gr as a measure of economic growth in line with other publications in the field (see Ivanov and Webster, 2007; Lopes et al., 2002; Plosser, 1992). The function of GDP also has been explained by Kosmidou, K. (2008) where gross domestic product (GDP) is among the most commonly used macroeconomic indicators, as it is a measure of total economic activity within an economy. The gross domestic product growth (GDPGR), calculated as the annual change of the GDP, is used as a measure of the macroeconomic conditions. The significance between GDP, foreign trade and foreign direct investment has been discussed by Liu Ying and Cui Riming (2008) where the economy is highlighted by the significant performance of both its economic growth and its foreign trade and foreign direct investment. Under this background, the correlation of foreign trade, foreign direct investments and economic growth in has become an important issue for academic research. Previous studies support that foreign trade and foreign direct investment have positive impacts on gross domestic product (GDP). In the study by Malul, M. and et al. (2008), the GDPpc is used mainly to compare the standard of living in different countries. It means that the higher of cost of living in a country, the higher earning of gross domestic product of the country. According to Wong, K.Y.(2008),economic growth of an economy refers to the expansion of its production possibility set, as a result of accumulation of primary factors such as labor and capital (physical and human), or improvement of production technologies. However, because the production possibility frontier (PPF) of an economy is not observable, economic growth is usually measured in terms of the growth rate of some observable variables such as real GDP or real per capita GDP. Besides that GDP also one of the result of the countrys economic activities based on the statement of Daly and Cobb (1989), GDP expresses the content of physical flows of à ¢Ã¢â€š ¬Ã…“capital, industrial production, services, resources and agricultural productà ¢Ã¢â€š ¬?. The scientific research has been conducted by Ligon and Sadoulet (2007) using a sample of 42 countries show that GDP growth, which comes from agriculture is at least twice as effective in reducing poverty compared to GDP growth coming from nonagricultural areas. In order to know the correlation between inflation and growth, Gokal, V. and Hanif, S. (2004), stated that the tests revealed that a weak negative correlation exists between inflation and growth, while the change in output gap bears significant bearing. The causality between the two variables ran one-way from GDP growth to inflation. While, according to some consensus exists, suggesting that macroeconomic stability, specifically defined as low inflation, is positively related to economic growth. 2.2 INDEPENDENT VARIABLES 2.2.1 INFLATION RATE (INF) Inflation on economic growth continues to be an important and complex topic in economics. If inflation has real economic effects, then governments can influence economic performance through monetary policy. Therefore, investigating how inflation affects economic growth pertains directly to the optimal design of monetary policy. According to Andres and Hernando (1999), for example, reducing inflation by one percentage point when the rate is 20 percent which results in an increase in the growth rate of 0.5 percent, compared to reducing inflation by one percentage point when the inflation rate is around 5 percent, which results in a decrease in the growth rate by 1 percent. Furthermore, a study by Mallik and Chowdhury (2001), the structuralisms argue that inflation is necessary for economic growth, whereas the monetarists argue the opposite, that is, inflation is detrimental to economic growth such debate started in the 1950s, focused on developing countries, which had long suffered fro m low-growth rates with high rates of inflation and larger deficits in the balance of payments. In order of inflation, the monetarists argue that price stability promotes economic growth and protects the balance of payments. They argue that inflation is major sources of economic instability because it weakens incentives for work and production, distorts the allocative efficiency of the market mechanism, erodes international competitiveness of the domestic industry, and reduces growth potential. They also argued that inflation damages economic growth by lowering domestic and foreign savings, reducing efficiency of resource allocation, and deteriorating the balance-of-payments. To monetarists, stable prices are the starting point in the process of economic development. The policy choice of a country would be stabilization with growth, or stabilization without growth. Several papers are typical of the monetarist tradition. To argue that, according to Fischer and Modigliani (1980) suggested a negative and nonlinear relationship between the rate of inflation and economic growth through the new growth theory mechanism proposed a model where the agents decide the level of labor output, and an increase in inflation reduces labor supply, and producing a decrease in economic production. On the other hand, a study by Mundell and Tobin (1965), the structuralizes argue that inflation normally accompanies economic growth in developing countries because structural rigidities and bottlenecks in supply sectors prevent the elastic supply of some basic commodities such as food, housing, energy, and transportation. Increased income as a result of growth would expand demand for such basic commodities, and prices would rise. The structuralize position is that economic difficulties in developing countries have roots deeper than just the results of inflation. Thus, structuralizes thought that inflationary pressures and det erioration in the balance of payments inevitably are attendant matters of economic growth. In developing countries, there thus would be a trade-off relationship between economic growth and inflation and an attendant deterioration in balance of payments. If a developing country wants stabilization of prices and balance of payments, it must reduce the speed of economic growth, including a sacrifice of employment. Among scholars who support the structuralize position on a positive relationship between inflation and economic performance, predict a positive relationship between the rate of inflation and the rate of capital accumulation, which in turn implies a positive relationship to the rate of economic growth. But, DeGregorio (1996) and Fischer (1926) pointed out, since money and capital are substitutable, an increase in the rate of inflation increases capital accumulation by shifts in portfolios from money to capital and thereby stimulate a higher rate of economic growth was the first to establish a negative correlation between inflation and unemployment. According to Grier and Grier (2006), it presents evidence on the real effects of inflation and inflation uncertainty on output growth. Their main findings are as follows: Inflation uncertainty has a negative and significant effect on growth Once the effect of inflation uncertainty is accounted for, lagged inflation does not have a direct negative effect on output growth; and As predicted higher average inflation raises inflation uncertainty, and the overall net effect of average inflation on output growth. Differ with theory of Bortis, H. (2004), he argues that inflation is a macroeconomic phenomenon represented by a gap between global supply and global demand. Inflation affects the money-output relationship, as does deflation; both phenomena modify the purchasing power of money over domestic output. In this view, price indices cannot come to grips with the inflation phenomenon. While Cheng and Tan (2002) in their study inflation in Malaysia, suggested that main factors affecting Malaysian inflation were external (foreign trade, foreign direct investment and technology transfer). Malaysia has been comparatively successful in balancing strong economic growth with moderate levels of inflation in the periods preceding and following the Asian Financial crisis. Actually, empirical results related to low and medium inflation are of a mixed nature; some papers (mainly these analysing the developed economies) argues that moderate inflation negatively affects growth (e.g. Alexander, 1997, Gillm an et al. 2002; Gillman and Harris 2009; Gillman et al. 2001; Fischer 1993; De Gregorio 1992 and 1993) while other argues that moderate inflation is actually stimulating growth. On the theory side Friedman (1977) in his Nobel lecture argues that a positive relationship between the level of inflation and inflation uncertainty. Friedman points out higher inflation leading to greater uncertainty, which lowers welfare and efficiency of output growth. On the other hand, Ball (1992) formalizes Friedmans hypothesis using an asymmetric information game where public faces uncertainty regarding the type of policymaker in the office. One of the policymaker is willing to tolerate a recession to reduce inflation and the other is not. During the low inflation time, both type of policymakers will attempt and try to keep it low. But, when inflation is high, only the tough type or anti-inflation policymaker will bear the economic costs of disinflation. The argument that central banks should emphasize holding down inflation comes from the beliefs that inflation has an adverse effect on macroeconomic variables, such as output and productivity growth. According to Clark (1982), inflation causes misperception of the relative price levels and leads to inefficient investment plans and therefore affects productivity inversely. Furthermore, inflation erodes tax reductions for depreciation and raises the rental price of capital, which in turn causes a reduction in capital accumulation and therefore in labour productivity. In addition, according to Feldstein (1982) inflation disrupts investment plans by imposing a higher tax rate on corporate profits and through higher effective tax rates on corporate income and accordingly affects productivity (Gilson, 1984; Boskin et al., 1980). Finally, inflation distorts price signals and reduces the ability of economic agents to operate efficiently (Smyth, 1995). According to Chen and et al. (1991), it has documented a significant relationship between the US stock returns and real economic variables such as industrial production, real GNP, interest rates, inflation and money supply. Besides that, there are also otherwise arguments that there is no relation between inflation rate and gross domestic product in the long run. For instance, Faria and Carneiro (2001) investigate the relationship between inflation and output in the context of an economy facing persistent high inflation and they find that inflation does not affect real output in the long run, but that in the short-run inflation negatively affects output. In addition, scholars such as Sidrauski (1967) suggest that there is no relationship between inflation and economic growth, supporting the hypothesis of super neutrality of money. On the other hand, Sarel (1995) asserts that there is a nonlinear relationship between inflation and economic growth. Using 87 countries, he finds the existence of an inflation threshold of 8 percent. Above the threshold there is a negative relationship between inflation and economic growth, whereas under the threshold there is a positive but not significant relationship. The others studies in order to prove Sarels result, Judson and Orphanides (1996) divide Sarels sample of countries into three groups, and they find similar results to Sarel, finding a threshold of 10 percent. Ghosh and Phillips (1998a, b) study 145 countries in the period 1960-1990 again finding similar results. Paul et al. (1997) study 70 countries (of which 48 are developing economies) for the period 1960-1989. They find no causal relationship between inflation and economic growth in 40 percent of the countries, bidirectional causality among 20 percent of the countries, and unidirectional causality for the rest (either inflation to growth or vice versa). Lastly, Mendoza (1998) finds that inflation has had no effect on Mexicos long-run economic growth since he conducted the study of inflation in Mexico. 2.2.2 EMPLOYMENT Some of studies have been conducted to examine the relationship between gross domestic product and employment. For instance, according to Okun (1962) and Philips (1958), they found different relationship both of these. Okun found a negative correlation between unemployment and economic growth, then from both propositions it can be deduced a positive relationship between economic growth and inflation while Phillips proposed a positive relationship between inflation and unemployment implying the same type of relationship. In addition, Boltho and Glyn (1995) found elasticities of employment with respect to output growth in the order of 0.5 to 0.6 for a set of OECD countries. While according to Evangelista and Perani (1996) discovered evidence suggesting that restructuring of major economic sectors reduce the relationship between economic growth and employment. A specific research conducted by Seyfried, W., among the G7 countries (Canada was excluded), a positive and significant relationship between growth in value added and employment was found only in Germany and the US. In addition, according to Verdoon (1949) and Kaldor (1966), an increase in output growth of 1 percent leads to an increase in productivity and employment growth of half a percentage point each. It should be noted that the higher the productivity effects of growth, the more difficult it will be to keep unemployment from rising. According to Okuns Law an increase of the economic growth rate by 3 percent (above the normal rate) was expected to reduce the unemployment rate by 161 percentage point. Or, to put it the other way round: The gain of real GDP associated with a reduction in unemployment of one percentage point was estimated to be 3 percent. Several studies also have been conducted to examine the correlation exists between employment and inflation rate. One of the studies by Spithoven, A.H.G.M. (1995), by the end of the 1960s evidently there was no fixed relationship between unemployment and inflation. Empirical research revealed that the relationship was not consistent over time and varied sharply between countries. This was explained as follows: in the short run higher nominal wages attract more labour and engender a fall in the rates of unemployment. As soon as the workers recognize the wage rise to be purely nominal they abstain from work, and unemployment is restored to the pre-wage-rise level, but with a level of prices higher than before. Secondly, according to Brenner (1991), confronted with a combination of unemployment and inflation (stagflation), many governments abandoned efforts to regulate the economy by the Keynesian instruments. They declared fiscal policies ineffective and sought refuge in a mixture of m onetary measures with supply-side economics. According to Keynes (1946), the volume of employment is given by the point of intersection between the aggregate demand function and the aggregate supply function. This was naively interpreted and construed to imply that a rise in costs à ¢Ã¢â€š ¬Ã¢â‚¬Å" and with this was meant a rise in costs owing to increasing government expenditure à ¢Ã¢â€š ¬Ã¢â‚¬Å" will result in an upward shift of the supply curve and will cause greater unemployment and inflation. CHAPTER 3 RESEARCH METHODOLOGY AND DESIGN 3.1 MODEL SPECIFICATION This study is to examine the correlation exists between inflation rate and total employment with gross domestic product. It uses secondary data which is based on time series data. The collection of time series data from 1982 to 2006 and the scope is in Malaysia. The researcher applied STATA software to process the data and log-log model in this study. The model applied a log transformation, since log transformations help, at least partially, to eliminate the strong asymmetry in the distribution of inflation (Sarel, 1995) and (Ghosh and Phillips, 1998a, b). The logarithm equation is written in the Equation 3.1. GDP = ÃŽÂ ± + ÃŽÂ ²1In(INF) + ÃŽÂ ²2ln(EMP) + ÃŽÂ µ (Equation 3.1) Where, GDP = Gross Domestic Product ÃŽÂ ± = Constant ÃŽÂ ²1 = Inflation ÃŽÂ ²2 = Employment ÃŽÂ µ = Error term In above equation, it shows clearly dependent variable that has been applied in this study is gross domestic product, besides that, the researcher also used two independent variables which are quantitative variables, they are inflation rate and total employment. 3.1.1 DEPENDENT VARIABLE The dependent variable is the variable of primary interest to the researcher. The researchers goal is to understand and describe the dependent variable, and to explain its variability, or predict it (Sekaran, 2006). Dependent variable of this study is factor contributed to the gross domestic product. According to Zikmund (2000), independent variable is a criterion that predicted or explained. It show that the component contributed to improving of gross domestic product depend on the listed independent variables. 3.1.2 INDEPENDENT VARIABLES According to Zikmund (2000), independent variables that expected to influence the dependent variable. Refer to (Burn and Bush, 2000), independent variables are those variables over which the researcher has some control and wishes to manipulate. In this study, two independent variables will influence the dependent variables. They are inflation rate and employment. 3.2 DATA SET AND METHODOLOGY The collections of data in this research only gain from secondary data and based on time series data which are from 2000 to 2010. The researcher has considered annual data of real GDP, inflation rate and employment. All the data on the growth rate of real GDP, Inflation and total employment were obtained from Department of Statistics Malaysia database. GDP is considered per capita. In addition, according to Aigenger (2005) per capita real GDP is also used as an alternative measure of productivity, as some theoretical models do. Moreover, according to OECD (2001), living standards as represented by per capita income reflects productivity since the former is determined, to a significant extent, by the latter. CPI consider in weight 100 while employment in number of labor. The variables were selected based on relevant economic theories that allow for the interaction among inflation rate and total employment in addition to response to GDP. 3.3 TECHNIQUE ANALYSIS DATA In this research, the researcher has applied unit SPSS in order to determine time series data is stationary or non stationary about the correlation between inflation rate and employment with gross domestic product. The researcher examines the existence of a long-run relationship between inflation and employment with GDP using a vector error-correction model (VECM) after applying Johansens (1988, 1990, and 1995) cointegration technique. We conduct a test for weak exogeneity in order to do inference. Then, the researcher conduct stability test by using Jarque Bera test in order to test normality distribution between the variables selected. Finally, a modified version of the Granger causality test is applied in order to analyze causality between the variables. 3.4.1.1 Multiple Regression Analysis Multiple Linear regression analysis is an analysis of the relationship between one variable (dependent variable) and set of variable (independent variables). It is used by the researcher to test the hypothesis. As in all hypothesis tests, the goal is to reject the null hypothesis and accept the alternative hypothesis. This technique will identify how much of the variance in the dependent variables can be explained by independent variables. This analysis is used primarily for the purpose of prediction. The regression model can be used to predict the value of the proposed model in the study is: GDP = f (INF, EMP) GDP = ÃŽÂ ± + ÃŽÂ ²1 Inflation+ ÃŽÂ ²2 Employment + ÃŽÂ µ Where, GDP = Gross Domestic Pr Relationship between Inflation Rates and Employment Relationship between Inflation Rates and Employment CHAPTER 1 Gross Domestic Product as an indicator of wealth and therefore quality of life has long been criticized (Mederly, P. and et al. 2003). Gross Domestic Product (GDP) is the value of total production of goods and services in a country over a specified period, typically a year. The gross domestic product (GDP) or gross domestic income (GDI) is a measure of a countrys overall economic output GDP can be determined in three ways, all of which should in principle give the same result. The most direct of the three is the product approach, which sums the outputs of every class of enterprise to arrive at the total. The expenditure approach works on the principle that all of the product must be bought by somebody, therefore the value of the total product must be equal to peoples total expenditures in buying things. The income approach works on the principle that the incomes of the productive factor must be equal to the value of their product, and determines GDP by finding the sum of all producer s incomes (Bureau of Economic Analysis, U.S Department of Commerce, 2007). The most common approach to measure GDP is the expenditure method: GDP= private consumption + gross investment + government spending + (exports à ¢Ã‹â€ imports) GDP = C + I + G + (X-M) (Equation 1.1) An event in 1975 that remind us the current GDP in our country where the Malaysian economy slumped into its great recession, with a GDP growth rate of only 0.8 percent, compared to 8.3 percent in 1974. This is one of the effects of increase in oil prices and then substantial price increase in 1973 were bought about mainly shortage of food and raw materials arising from bad weather and increased aggregate demand (Cheng, M.Y. and Tan,.H.B. 2002). According to the above circumstances occurred in 1975, the researcher has choosing one of variables that may relate with fluctuation of GDP which is inflation rate. Inflation means either an increase in the money supply or an increase in price levels. Generally, when we hear about inflation, we are hearing about a rise in prices compared to some benchmark. The study of the effects of inflation on economic growth continues to be an important and complex topic in economics. If inflation has real economic effects, then governments can influence economic performance through monetary policy (Risso, W.A and Carrera, E.J.S, 2009). Therefore, investigating how inflation affects economic growth pertains directly to the optimal design of monetary policy. Results from such studies are particularly important for economies. Besides the inflation, the researcher has considered total employment as one of the variable in the model since economic growth and employment are correlated between each others. The relationship between unemployment and GDP is called Okuns law. It is the association of a higher national economic output with the decrease in national unemployment. This is because in order to increase the economic output of a country, people will need to go back to work, thus lowering unemployment. In order to support the relationship exist between GDP and employment, the researcher has found out the issue supporting the theory that GDP and employment has a positive relationship between each others. According to Hassan, M.K.H. and et al. (2010), in the period of 1996 -1997, the manufacturing sector experienced a rapid growth producing the employment rate in the sector to grow at 7.7 percent per annum but later declining to negative 3.6 percent in 1998 due to the economic recession. In addition, in year 2000, the Malaysian manufacturing sector contributed 33.4% to gross domestic product (GDP), 85.2% to total export and 27.6% to total employment. 1.2 PROBLEM STATEMENT Inflation is a major source of economic instability because it weakens incentives for work and production, distorts the allocate efficiency of the market mechanism, erodes international competitiveness of the domestic industry, and reduces growth potential. According to study by Fischer and Modigliani (1980) suggested a negative and nonlinear relationship between the rate of inflation and economic growth through the new growth theory mechanism. Furthermore, inflation also damages economic growth by lowering domestic and foreign savings, reducing efficiency of resource allocation, and deteriorating the balance-of payments (Risso, W.A. and Carrera, E.J.S., 2009). According to Cheng, M.Y. and Tan, H.B. (2002), the economy has experienced episode of high (1973-1974, 1980-1981) and low (1985-1987) regimes of inflation, and was able to contain low and stable inflation during the high economy growth period of 1988-1996. The second problem statement that should be concerns since the employment can affect the economic growth and it is important variable to determine the quality of production for national output and next will influence the GDP of our country. For example, in the early 1990s, the unemployment rate increased for about a year following the end of the previous recession. Coming out of a recession, companies are thought to be reluctant to hire many more workers until they are convinced about the sustainability of a new economic recovery while people who had left the labor force during the recession return to seek to find jobs (Seyfried, W.). Therefore, the researcher conducts this research in order to examine the correlation exists between inflation rate and employment with GDP so that we can help the country to mitigate the problem occurs by supporting the governments policies to increase the countrys GDP. In addition, this research also useful since the results of the studies can be used in policys decision for resource allocation in order to accelerate economic growth. 1.3 OBJECTIVES The objectives of the study are to: 1.3.1 Analyze the relationship between Inflation Rate and Gross Domestic Product in terms of magnitude and direction. 1.3.2 Analyze the relationship between Total Employment and Gross Domestic Product in terms of magnitude and direction. 1.4 SIGNIFICANCE OF THE STUDY The significances of this study are as follow: 1.4.1 Researcher This study will help the researcher to complete their course requirement and will be as guidelines for their field of work in the future. The researcher can gain many experiences in order to complete this research. There are lot of weaknesses may be obtained and this will encourage the researcher to provide the better research in the future. Future researcher will know and more understanding about gross domestic product when conduct this research. It will give the knowledge to the researcher to identify the correlation exist between inflation rate and employment and it always make the researcher briefing to know deeply and applied the study. 1.4.2 Organization This study might help the organization in analyzing the countrys economic condition in order to prevent and reduce the risk during the inflation and know the effects of the crisis occurs to them. This study also may give some guidance to them to protect their company and industry itself. 1.4.3 Public This study can inform and gives some knowledge to the public the relationship between economic growth, inflation rate and employment. They also can make preparation to face the increasing in inflation rate and able to survive in that situation. 1.5 SCOPE OF THE STUDY The researcher chooses to conduct the research about GDP in Malaysia from 2000 until 2010 In this study, the researcher wants to determine the correlation exist between inflation rate and employment with GDP in Malaysia. It is important because as economic planners and forecasters used the GDP per capita in monitoring economic growth trend for time series. The collection of data of GDP, inflation rate and total employment were collected from Department Of Statistics Malaysia in quarterly basis. 1.6 THEORETICAL FRAMEWORK Figure 1.1: Theoretical Framework INFLATION RATE GROSS DOMESTIC PRODUCT EMPLOYMENT RATE RATE Independent variables Dependent Variable Figure 1.1 represents the dependent variable and independent variables in this study. The function of theoretical framework has been clarified by Sekaran, U. (2003) which is a conceptual model of how one theorizes or makes logical sense of the relationship among the several factors that have been identified as important to the problem. Figure above clearly discuss the correlation between Gross Domestic Product which is variable primary to the researcher while Inflation Rate and Employment act as independent variable which is influences the dependent variable. 1.7 HYPOTHESIS In classical test of significant, two kind of hypothesis are used. They are Null Hypothesis and Alternate Hypothesis. Hypothesis is a conjectural statement that describes the relationship among variable even negative or positive. Null hypothesis which is represent by H0 symbol to show that the relationship between independent and dependent variable is not exist. However alternate hypothesis is representing by H1 symbol to show that the relationship is existing between both dependent and independent variable. According to Sakaran (2004), a hypothesis defines as a logically conjectured relationship between two or more variables expressed in the form of testable statement. Relationship a conjectured on the basis on the network of associations established in the theoretical framework formulated for the research study. There are two hypotheses that can describes the correlation exists between dependent variable and independent variables. Therefore the hypothesis that can be tested as follows: Inflation and GDP H0: there is no significant relationship between inflation and GDP. H1: there is a significant relationship between inflation and GDP. Employment and GDP H0: there is no significant relationship between employment and GDP. H1: there is a significant relationship between employment and GDP. 1.8 LIMITATION / CONSTRAINTS The limitations / constraints are: 1.8.1 Time constraint The length of time is limited since the researcher does not have much time to make detailed research. The time provided only three months and the researcher need to divide time properly to complete the research because the process of collecting data is quite difficult. 1.8.2 Cost constraint The cost involves is quite high since as a student, the researcher only depend on the loan applied. Examples of cost involve in order completing this research such as cost of printing, cost of maintaining the laptop, cost of surfing the internet and etc. 1.8.3 Data constraint Since the researcher use the secondary data, the collection of data that have been publish are so limited and the related material are not very supporting the topic of research. 1.8.4 Lack of experience The researcher is less of experience in conducting the research therefore needs to refer the researchers advisor to process the data and learning the skill that needed as a good researcher. CHAPTER 2 LITERATURE REVIEW 2.1 DEPENDENT VARIABLE 2.1.1 GROSS DOMESTIC PRODUCT (GDP) Generally, according to Chan, W.W. and Lam, J.C. (2000), gross domestic product is a common measure of the economic well-being of a society. When government officials plan for the future, they consider the various economics sectors contributed to the gross domestic products. In the other study by Ivanov, S. and Webster, C. (2007), they use the growth of real GDP per capita gr as a measure of economic growth in line with other publications in the field (see Ivanov and Webster, 2007; Lopes et al., 2002; Plosser, 1992). The function of GDP also has been explained by Kosmidou, K. (2008) where gross domestic product (GDP) is among the most commonly used macroeconomic indicators, as it is a measure of total economic activity within an economy. The gross domestic product growth (GDPGR), calculated as the annual change of the GDP, is used as a measure of the macroeconomic conditions. The significance between GDP, foreign trade and foreign direct investment has been discussed by Liu Ying and Cui Riming (2008) where the economy is highlighted by the significant performance of both its economic growth and its foreign trade and foreign direct investment. Under this background, the correlation of foreign trade, foreign direct investments and economic growth in has become an important issue for academic research. Previous studies support that foreign trade and foreign direct investment have positive impacts on gross domestic product (GDP). In the study by Malul, M. and et al. (2008), the GDPpc is used mainly to compare the standard of living in different countries. It means that the higher of cost of living in a country, the higher earning of gross domestic product of the country. According to Wong, K.Y.(2008),economic growth of an economy refers to the expansion of its production possibility set, as a result of accumulation of primary factors such as labor and capital (physical and human), or improvement of production technologies. However, because the production possibility frontier (PPF) of an economy is not observable, economic growth is usually measured in terms of the growth rate of some observable variables such as real GDP or real per capita GDP. Besides that GDP also one of the result of the countrys economic activities based on the statement of Daly and Cobb (1989), GDP expresses the content of physical flows of à ¢Ã¢â€š ¬Ã…“capital, industrial production, services, resources and agricultural productà ¢Ã¢â€š ¬?. The scientific research has been conducted by Ligon and Sadoulet (2007) using a sample of 42 countries show that GDP growth, which comes from agriculture is at least twice as effective in reducing poverty compared to GDP growth coming from nonagricultural areas. In order to know the correlation between inflation and growth, Gokal, V. and Hanif, S. (2004), stated that the tests revealed that a weak negative correlation exists between inflation and growth, while the change in output gap bears significant bearing. The causality between the two variables ran one-way from GDP growth to inflation. While, according to some consensus exists, suggesting that macroeconomic stability, specifically defined as low inflation, is positively related to economic growth. 2.2 INDEPENDENT VARIABLES 2.2.1 INFLATION RATE (INF) Inflation on economic growth continues to be an important and complex topic in economics. If inflation has real economic effects, then governments can influence economic performance through monetary policy. Therefore, investigating how inflation affects economic growth pertains directly to the optimal design of monetary policy. According to Andres and Hernando (1999), for example, reducing inflation by one percentage point when the rate is 20 percent which results in an increase in the growth rate of 0.5 percent, compared to reducing inflation by one percentage point when the inflation rate is around 5 percent, which results in a decrease in the growth rate by 1 percent. Furthermore, a study by Mallik and Chowdhury (2001), the structuralisms argue that inflation is necessary for economic growth, whereas the monetarists argue the opposite, that is, inflation is detrimental to economic growth such debate started in the 1950s, focused on developing countries, which had long suffered fro m low-growth rates with high rates of inflation and larger deficits in the balance of payments. In order of inflation, the monetarists argue that price stability promotes economic growth and protects the balance of payments. They argue that inflation is major sources of economic instability because it weakens incentives for work and production, distorts the allocative efficiency of the market mechanism, erodes international competitiveness of the domestic industry, and reduces growth potential. They also argued that inflation damages economic growth by lowering domestic and foreign savings, reducing efficiency of resource allocation, and deteriorating the balance-of-payments. To monetarists, stable prices are the starting point in the process of economic development. The policy choice of a country would be stabilization with growth, or stabilization without growth. Several papers are typical of the monetarist tradition. To argue that, according to Fischer and Modigliani (1980) suggested a negative and nonlinear relationship between the rate of inflation and economic growth through the new growth theory mechanism proposed a model where the agents decide the level of labor output, and an increase in inflation reduces labor supply, and producing a decrease in economic production. On the other hand, a study by Mundell and Tobin (1965), the structuralizes argue that inflation normally accompanies economic growth in developing countries because structural rigidities and bottlenecks in supply sectors prevent the elastic supply of some basic commodities such as food, housing, energy, and transportation. Increased income as a result of growth would expand demand for such basic commodities, and prices would rise. The structuralize position is that economic difficulties in developing countries have roots deeper than just the results of inflation. Thus, structuralizes thought that inflationary pressures and det erioration in the balance of payments inevitably are attendant matters of economic growth. In developing countries, there thus would be a trade-off relationship between economic growth and inflation and an attendant deterioration in balance of payments. If a developing country wants stabilization of prices and balance of payments, it must reduce the speed of economic growth, including a sacrifice of employment. Among scholars who support the structuralize position on a positive relationship between inflation and economic performance, predict a positive relationship between the rate of inflation and the rate of capital accumulation, which in turn implies a positive relationship to the rate of economic growth. But, DeGregorio (1996) and Fischer (1926) pointed out, since money and capital are substitutable, an increase in the rate of inflation increases capital accumulation by shifts in portfolios from money to capital and thereby stimulate a higher rate of economic growth was the first to establish a negative correlation between inflation and unemployment. According to Grier and Grier (2006), it presents evidence on the real effects of inflation and inflation uncertainty on output growth. Their main findings are as follows: Inflation uncertainty has a negative and significant effect on growth Once the effect of inflation uncertainty is accounted for, lagged inflation does not have a direct negative effect on output growth; and As predicted higher average inflation raises inflation uncertainty, and the overall net effect of average inflation on output growth. Differ with theory of Bortis, H. (2004), he argues that inflation is a macroeconomic phenomenon represented by a gap between global supply and global demand. Inflation affects the money-output relationship, as does deflation; both phenomena modify the purchasing power of money over domestic output. In this view, price indices cannot come to grips with the inflation phenomenon. While Cheng and Tan (2002) in their study inflation in Malaysia, suggested that main factors affecting Malaysian inflation were external (foreign trade, foreign direct investment and technology transfer). Malaysia has been comparatively successful in balancing strong economic growth with moderate levels of inflation in the periods preceding and following the Asian Financial crisis. Actually, empirical results related to low and medium inflation are of a mixed nature; some papers (mainly these analysing the developed economies) argues that moderate inflation negatively affects growth (e.g. Alexander, 1997, Gillm an et al. 2002; Gillman and Harris 2009; Gillman et al. 2001; Fischer 1993; De Gregorio 1992 and 1993) while other argues that moderate inflation is actually stimulating growth. On the theory side Friedman (1977) in his Nobel lecture argues that a positive relationship between the level of inflation and inflation uncertainty. Friedman points out higher inflation leading to greater uncertainty, which lowers welfare and efficiency of output growth. On the other hand, Ball (1992) formalizes Friedmans hypothesis using an asymmetric information game where public faces uncertainty regarding the type of policymaker in the office. One of the policymaker is willing to tolerate a recession to reduce inflation and the other is not. During the low inflation time, both type of policymakers will attempt and try to keep it low. But, when inflation is high, only the tough type or anti-inflation policymaker will bear the economic costs of disinflation. The argument that central banks should emphasize holding down inflation comes from the beliefs that inflation has an adverse effect on macroeconomic variables, such as output and productivity growth. According to Clark (1982), inflation causes misperception of the relative price levels and leads to inefficient investment plans and therefore affects productivity inversely. Furthermore, inflation erodes tax reductions for depreciation and raises the rental price of capital, which in turn causes a reduction in capital accumulation and therefore in labour productivity. In addition, according to Feldstein (1982) inflation disrupts investment plans by imposing a higher tax rate on corporate profits and through higher effective tax rates on corporate income and accordingly affects productivity (Gilson, 1984; Boskin et al., 1980). Finally, inflation distorts price signals and reduces the ability of economic agents to operate efficiently (Smyth, 1995). According to Chen and et al. (1991), it has documented a significant relationship between the US stock returns and real economic variables such as industrial production, real GNP, interest rates, inflation and money supply. Besides that, there are also otherwise arguments that there is no relation between inflation rate and gross domestic product in the long run. For instance, Faria and Carneiro (2001) investigate the relationship between inflation and output in the context of an economy facing persistent high inflation and they find that inflation does not affect real output in the long run, but that in the short-run inflation negatively affects output. In addition, scholars such as Sidrauski (1967) suggest that there is no relationship between inflation and economic growth, supporting the hypothesis of super neutrality of money. On the other hand, Sarel (1995) asserts that there is a nonlinear relationship between inflation and economic growth. Using 87 countries, he finds the existence of an inflation threshold of 8 percent. Above the threshold there is a negative relationship between inflation and economic growth, whereas under the threshold there is a positive but not significant relationship. The others studies in order to prove Sarels result, Judson and Orphanides (1996) divide Sarels sample of countries into three groups, and they find similar results to Sarel, finding a threshold of 10 percent. Ghosh and Phillips (1998a, b) study 145 countries in the period 1960-1990 again finding similar results. Paul et al. (1997) study 70 countries (of which 48 are developing economies) for the period 1960-1989. They find no causal relationship between inflation and economic growth in 40 percent of the countries, bidirectional causality among 20 percent of the countries, and unidirectional causality for the rest (either inflation to growth or vice versa). Lastly, Mendoza (1998) finds that inflation has had no effect on Mexicos long-run economic growth since he conducted the study of inflation in Mexico. 2.2.2 EMPLOYMENT Some of studies have been conducted to examine the relationship between gross domestic product and employment. For instance, according to Okun (1962) and Philips (1958), they found different relationship both of these. Okun found a negative correlation between unemployment and economic growth, then from both propositions it can be deduced a positive relationship between economic growth and inflation while Phillips proposed a positive relationship between inflation and unemployment implying the same type of relationship. In addition, Boltho and Glyn (1995) found elasticities of employment with respect to output growth in the order of 0.5 to 0.6 for a set of OECD countries. While according to Evangelista and Perani (1996) discovered evidence suggesting that restructuring of major economic sectors reduce the relationship between economic growth and employment. A specific research conducted by Seyfried, W., among the G7 countries (Canada was excluded), a positive and significant relationship between growth in value added and employment was found only in Germany and the US. In addition, according to Verdoon (1949) and Kaldor (1966), an increase in output growth of 1 percent leads to an increase in productivity and employment growth of half a percentage point each. It should be noted that the higher the productivity effects of growth, the more difficult it will be to keep unemployment from rising. According to Okuns Law an increase of the economic growth rate by 3 percent (above the normal rate) was expected to reduce the unemployment rate by 161 percentage point. Or, to put it the other way round: The gain of real GDP associated with a reduction in unemployment of one percentage point was estimated to be 3 percent. Several studies also have been conducted to examine the correlation exists between employment and inflation rate. One of the studies by Spithoven, A.H.G.M. (1995), by the end of the 1960s evidently there was no fixed relationship between unemployment and inflation. Empirical research revealed that the relationship was not consistent over time and varied sharply between countries. This was explained as follows: in the short run higher nominal wages attract more labour and engender a fall in the rates of unemployment. As soon as the workers recognize the wage rise to be purely nominal they abstain from work, and unemployment is restored to the pre-wage-rise level, but with a level of prices higher than before. Secondly, according to Brenner (1991), confronted with a combination of unemployment and inflation (stagflation), many governments abandoned efforts to regulate the economy by the Keynesian instruments. They declared fiscal policies ineffective and sought refuge in a mixture of m onetary measures with supply-side economics. According to Keynes (1946), the volume of employment is given by the point of intersection between the aggregate demand function and the aggregate supply function. This was naively interpreted and construed to imply that a rise in costs à ¢Ã¢â€š ¬Ã¢â‚¬Å" and with this was meant a rise in costs owing to increasing government expenditure à ¢Ã¢â€š ¬Ã¢â‚¬Å" will result in an upward shift of the supply curve and will cause greater unemployment and inflation. CHAPTER 3 RESEARCH METHODOLOGY AND DESIGN 3.1 MODEL SPECIFICATION This study is to examine the correlation exists between inflation rate and total employment with gross domestic product. It uses secondary data which is based on time series data. The collection of time series data from 1982 to 2006 and the scope is in Malaysia. The researcher applied STATA software to process the data and log-log model in this study. The model applied a log transformation, since log transformations help, at least partially, to eliminate the strong asymmetry in the distribution of inflation (Sarel, 1995) and (Ghosh and Phillips, 1998a, b). The logarithm equation is written in the Equation 3.1. GDP = ÃŽÂ ± + ÃŽÂ ²1In(INF) + ÃŽÂ ²2ln(EMP) + ÃŽÂ µ (Equation 3.1) Where, GDP = Gross Domestic Product ÃŽÂ ± = Constant ÃŽÂ ²1 = Inflation ÃŽÂ ²2 = Employment ÃŽÂ µ = Error term In above equation, it shows clearly dependent variable that has been applied in this study is gross domestic product, besides that, the researcher also used two independent variables which are quantitative variables, they are inflation rate and total employment. 3.1.1 DEPENDENT VARIABLE The dependent variable is the variable of primary interest to the researcher. The researchers goal is to understand and describe the dependent variable, and to explain its variability, or predict it (Sekaran, 2006). Dependent variable of this study is factor contributed to the gross domestic product. According to Zikmund (2000), independent variable is a criterion that predicted or explained. It show that the component contributed to improving of gross domestic product depend on the listed independent variables. 3.1.2 INDEPENDENT VARIABLES According to Zikmund (2000), independent variables that expected to influence the dependent variable. Refer to (Burn and Bush, 2000), independent variables are those variables over which the researcher has some control and wishes to manipulate. In this study, two independent variables will influence the dependent variables. They are inflation rate and employment. 3.2 DATA SET AND METHODOLOGY The collections of data in this research only gain from secondary data and based on time series data which are from 2000 to 2010. The researcher has considered annual data of real GDP, inflation rate and employment. All the data on the growth rate of real GDP, Inflation and total employment were obtained from Department of Statistics Malaysia database. GDP is considered per capita. In addition, according to Aigenger (2005) per capita real GDP is also used as an alternative measure of productivity, as some theoretical models do. Moreover, according to OECD (2001), living standards as represented by per capita income reflects productivity since the former is determined, to a significant extent, by the latter. CPI consider in weight 100 while employment in number of labor. The variables were selected based on relevant economic theories that allow for the interaction among inflation rate and total employment in addition to response to GDP. 3.3 TECHNIQUE ANALYSIS DATA In this research, the researcher has applied unit SPSS in order to determine time series data is stationary or non stationary about the correlation between inflation rate and employment with gross domestic product. The researcher examines the existence of a long-run relationship between inflation and employment with GDP using a vector error-correction model (VECM) after applying Johansens (1988, 1990, and 1995) cointegration technique. We conduct a test for weak exogeneity in order to do inference. Then, the researcher conduct stability test by using Jarque Bera test in order to test normality distribution between the variables selected. Finally, a modified version of the Granger causality test is applied in order to analyze causality between the variables. 3.4.1.1 Multiple Regression Analysis Multiple Linear regression analysis is an analysis of the relationship between one variable (dependent variable) and set of variable (independent variables). It is used by the researcher to test the hypothesis. As in all hypothesis tests, the goal is to reject the null hypothesis and accept the alternative hypothesis. This technique will identify how much of the variance in the dependent variables can be explained by independent variables. This analysis is used primarily for the purpose of prediction. The regression model can be used to predict the value of the proposed model in the study is: GDP = f (INF, EMP) GDP = ÃŽÂ ± + ÃŽÂ ²1 Inflation+ ÃŽÂ ²2 Employment + ÃŽÂ µ Where, GDP = Gross Domestic Pr