Saturday, November 30, 2019

Psychology of Implicit Attitudes

Introduction An implicit attitude refers to the hidden attitude that an individual may have towards something. It has been observed that most people have implicit attitudes towards people with disabilities.Advertising We will write a custom essay sample on Psychology of Implicit Attitudes specifically for you for only $16.05 $11/page Learn More Implicit attitudes Discrimination of people with physical, emotional, social, and mental disabilities has mostly been as a result of the hidden cultural and social beliefs that given people might have against people with disabilities. Most people have been socialized to believe that people with disabilities are unable to function as full members of the society. Discrimination against people with disabilities is therefore a result of the implicit attitudes by certain people in the society. The Implicit Associated Test (IAT) has been used to measure the hidden beliefs of individuals towards people with disabilities. The test is computer based. The test enables one to measure attitudes that are not consciously acknowledged and thus prevents false reporting of the attitudes related to social desirability. The Implicit Associated Test that has been administered in certain communities is as shown below: â€Å"Strongly prefers able persons to disabled persons.Advertising Looking for essay on social sciences? Let's see if we can help you! Get your first paper with 15% OFF Learn More Moderately prefers able persons to disabled persons. Little preference towards able and disabled persons. Slightly prefers disabled persons to able persons. Moderately prefers disabled to able persons. Strongly prefers disabled to able persons†. The responses generated from the Implicit Associated Test are meant to enable the individuals to be aware of the implicit attitudes they show towards people with disabilities. In addition, the responses enable individuals to be sensitized about the nature of implicit attitudes that able people have towards people with disabilities. Awareness, sensitization, and mobilization enhance capacity building on how to reduce the biasness that certain people have against people with disabilities.Advertising We will write a custom essay sample on Psychology of Implicit Attitudes specifically for you for only $16.05 $11/page Learn More It is recommended that biasness against people with disabilities should be avoided by all at all costs. This is because biasness against people with disabilities reduces equity and equality in issues of resource distribution and national development. To avoid biasness against people with disabilities, individuals should extend social interaction with people with disabilities in all contexts like at school, work place, at home or in the church. This essay on Psychology of Implicit Attitudes was written and submitted by user Mikayla Cline to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Tuesday, November 26, 2019

Decline of Puritinism essays

Decline of Puritinism essays The seventeenth century in American history witnessed the arrival of a devout religious group known as the Puritans to the New England area. Whether unsatisfied with the seemingly slow progress of the Protestant Reformation in their home country of England, or fearing for their lives because of anti-Puritan persecutions, they eventually made their way to the New World with the goal of living and worshipping freely for God. Though the Puritan settlement at Massachusetts Bay in 1630 was started off at a larger scale than any others in colonial America, the faith managed to fully lose its dominant cultural impact in these settlements in the nineteenth century. Essentially, this demise was the result of Puritanisms own strict social, political, and religious doctrines. Though the Puritans were essentially supporters of liberty, they were restrained in social conduct to a degree incomparable to any contemporary standards. The idea of religion and government as one functioning system, or paternalism, was at the heart of their colonial settlements. It was mutually agreed upon by the Puritans that the purpose of government was to enforce the will of God. Therefore, social aspects like dress and family were considered within the jurisdiction of the system, and an extensive and outrageous list of laws, called the sumptuary laws, was created concerning communal behavior. For women, lace was not considered an acceptable article of clothing in Puritan society, and their attire had to have acceptable sleeve measurements. At the same time, a man was subject to prosecution if he wore long hair, and men were not even allowed to kiss their wives in public situations. One man was forced to spend hours in the stocks for kissing his in front of his home afte r returning from three years at sea. In all actuality, such harsh social policies could have done nothing more effectively than bread dissenters over time. ...

Friday, November 22, 2019

Summary of Sartres The Transcendence of the Ego

Summary of Sartres The Transcendence of the Ego The Transcendence of the Ego  is a philosophical essay published by  Jean Paul Sartre  in 1936. In it, he sets out his view that the self or ego is not itself something that one is aware of. The model of consciousness that Sartre  provides in this essay  may be outlined as follows. Consciousness is always intentional; that is, it is always and necessarily consciousness of something. The object of consciousness can be almost any kind of thing: a physical object, a proposition, a state of affairs, a recollected image or moodanything that consciousness can apprehend. This is the â€Å"principle of intentionality† that forms the starting point for Husserls phenomenology.   Sartre radicalizes this principle by asserting that consciousness is nothing but intentionality. This means conceiving of consciousness as a pure activity, and denying that there is any ego which lies within, behind or beneath consciousness as its source or necessary condition. The justification of this claim is one of Sartres main purposes in The Transcendence of the Ego. Sartre first distinguishes between two modes of consciousness: unreflecting consciousness and reflecting consciousness. Unreflecting consciousness is simply my usual consciousness of things other than consciousness itself: birds, bees, a piece of music, the meaning of a sentence, a recollected face, etc. According to Sartre consciousness simultaneously posits and grasps its objects. And he describes such consciousness as positional and as thetic. What he means by these terms is not entirely clear, but he seems to be referring to the fact that in my consciousness of anything there is both activity and passivity. Consciousness of an object is positional in that it posits the object: that is, it directs itself to the object (e.g. an apple, or a tree) and attends to it. It is â€Å"thetic† in that consciousness confronts its object as something given to it, or as something that has already been posited. Sartre also claims that consciousness, even when it is unreflecting, is always minimally conscious of itself. This mode of consciousness he describes as non-positional and non-thetic indicating that in this mode, consciousness does not posit itself as an object, nor is it confronted by itself. Rather, this irreducible self-awareness is taken to be an invariable quality of both unreflecting and reflecting consciousness. A reflecting consciousness is one that is positing itself as its object. Fundamentally, says Sartre, the reflecting consciousness and the consciousness that is the object of reflection (the reflected consciousness) are identical. Nevertheless, we can distinguish between them, at least in abstraction, and so talk about two consciousnesses here: the reflecting and the reflected.  Ã‚   His main purpose in analyzing self-consciousness is to show that self-reflection does not support the thesis that there is an ego situated within or behind consciousness. He first distinguishes two kinds of reflection: (1) reflection on an earlier state of consciousness that is recalled to mind by memory–so this earlier state now becomes an object of present consciousness; and (2) reflection in the immediate present where consciousness takes itself as it is now for its object. Retrospective reflection of the first kind, he argues, reveals only an unreflecting consciousness of objects along with the non-positional self-awareness that is an invariable feature of consciousness. It does not reveal the presence of an I within consciousness.  Reflection of the second kind, which is the kind that Descartes is engaged in when he asserts â€Å"I think, therefore I am,† might be thought more likely to reveal this I. Sartre denies this, however, arguing that the I that conscious ness is commonly thought to encounter here is, in fact, the product of reflection. In the second half of the essay, he offers his explanation of how this occurs. Brief Summary Briefly, his account runs as follows. Discrete moments of reflective consciousness are unified by being interpreted as emanating from my states, actions, and characteristics, all of which extend beyond the present moment of reflection. For example, my consciousness of detesting something now and my consciousness of detesting the same thing at some other moment are united by the idea that I hate that thinghatred being a state that persists beyond the moments of conscious detestation. Actions perform a similar function. Thus, when Descartes asserts I am now doubting his consciousness is not engaged in a pure reflection on itself as it is at the present instant. He is allowing an awareness that this present moment of doubt is part of an action that began earlier and will continue for some time to inform his reflection. The discrete moments of doubt are unified by the action, and this unity is expressed in the I which he includes in his assertion.   The ego, then, is not discovered in reflection but is created by it. It is not, however, an abstraction, or a mere idea. Rather, it is the concrete totality of my reflective states of consciousness, constituted by them in the way that a melody is constituted by discrete notes. We do, says Sartre, apprehend the ego out of the corner of our eye when we reflect; but if we try to focus on it and make it the object of consciousness it necessarily disappears, since it only comes into being through consciousness reflecting on itself (not on the ego, which is something else). The conclusion Sartre draws from his analysis of consciousness is that phenomenology has no reason to posit an ego within or behind consciousness. He claims, moreover, that his view of the ego as something that reflecting consciousness constructs, and which should, therefore, be regarded as just another object of consciousness that, like all other such objects, transcends consciousness, has marked advantages. In particular, it furnishes a refutation of solipsism (the idea that the world consists of me and the contents of my mind), helps us overcome skepticism regarding the existence of other minds, and lays down the basis for an existentialist philosophy that genuinely engages the real world of people and things.

Wednesday, November 20, 2019

Filibustering Within the Senate Research Paper Example | Topics and Well Written Essays - 750 words

Filibustering Within the Senate - Research Paper Example The Supreme Court, in 1892, ruled that Senate rules could be changed through a simple majority, although this could occur only in March or January’s first day session. On this day, rules are determined anew with the rules not automatically continuous to the next session. Proponents refer to this as the constitutional option while opponents call it the nuclear option. Rule changes can be filibustered under rules currently in force in the US Senate, with two thirds of voting Senators needed to break it (Arenberg & Dove, 2012). In the US Senate, the process will still take floor time even if it is unsuccessful in the first attempt. Filibustering, however, is not a preserve of the US Senate. In particular, the Senate in Texas has a tradition of obstruction with over one hundred filibusters in the last seventy years (Newell, 2011). The State also has the longest filibuster in US history, lasting over forty-three hours in 1957. In fact, in 2003, Texas Senators fled the State in orde r to deny a quorum for the majority party. This shows that filibustering is not an anomaly of the US Senate, being a general phenomenon that also exists in Texas with Senators exploiting the rules in existence to gain leverage and block measures. The Texas state uses various filibustering forms, including prolonged speaking, quorum breaking, and dilatory motions that are meant to kill time (Brown, 2012). In addition, the Senate in Texas limits debate using a previous question motion, although this does not make it impossible to filibuster. Unlike the situation in the US Senate, Texas Senators need to apply actual effort in their filibustering. Texas Senators in a filibuster are limited to relevant topics with regards to the bill in the Senate and are not allowed to use the restroom, drink, or eat when presenting their speech (Maxwell et al, 2012). Texas Senate rules also prohibit leaning on chairs or sitting at any time under any circumstances when a Senator is on the floor of the h ouse and addressing the resolution or bill. The filibuster will end when there is voluntary withdrawal by the Senator or if the Senator violates the debate and decorum rules three times. The Senate will then vote after the third violations on a point of order that, if sustained, will see the Senator involuntarily yield his/her floor-time (Janda et al, 2013). In both the US and Texas Senate, it is worth noting that the manner in which Senators filibuster subtracts or adds from the difficulty of a filibuster that is active (Santos, 2011). It is easier for Senators to filibuster when seated, or even making repeated calls, quorum calls, or sending documents for loud reading by the chamber clerk. Speaking and standing is a taxing activity with the two Senates limiting the power of obstruction through interpretation of rules to ensure that filibustering is difficult. It also ensures that it is easier to call Senators to order (Beth, 2011). One instance in the Texas Senate saw three strike s against Senator Wendy Davis because another Senator helped her to re-strap her back brace. The other two violations involved germaneness requirements in the discussion of a Texas law that needed sonograms prior to abortions

Tuesday, November 19, 2019

The Palm Beach County Comprehensive Emergency Management Plan Assignment

The Palm Beach County Comprehensive Emergency Management Plan - Assignment Example The National Incident Management System provides a template for the CEMP to follow since it is federally mandated for agencies at all levels of government, based on the Homeland Security Presidential Directive 5 (HSPD-5). The NIMS has been fully incorporated into all the response and recovery initiatives. The NIMS basically acts as a guideline for the CEMP since new frameworks do not have to be developed (Wilkinson, Lewis and Dennis, 2010). The CEMP developers only need to customize the structure of the NIMS to fit the needs of whatever geographical area they are working on (Chou and Chen, 2013). In this case, the guidelines of the NIMS can be adapted to fit Palm Beach County’s CEMP and work on original plans will be minimal. The CEMP has four essential elements, which are the Basic Plan, Standard Operating Guidelines (SOGs), Emergency Management (EM) Coordinating Procedures, and the Hazard Specific Plans (HSPs). The basic plan provides information on the concept of operations, coordination, control and organizational structure, general purpose, scope and methodology of the plan, and identifies responsibilities of all entities and resources harnessed by the County to help in disaster recovery (Nagar, 2010). SOGs are agency or section-specific and are used by organizations to actualize the purposes, missions, or operations outlined by the complimentary HSPs or Coordinating Procedures (Wilkinson, Lewis and Dennis, 2010). HSPs serve as the foundation for effective response to known hazards and support the incorporation of mitigation into response and recovery operations (Penuel, 2013). The Coordinating Procedures explain by Section, the primary, auxiliary, and coordinating entities, and their roles and responsibilities in the four stages of emergency management. The CEMP covers the following events: vi) Assigning specific and detailed functional duties to

Saturday, November 16, 2019

Music Styles - Comparative Essay Essay Example for Free

Music Styles Comparative Essay Essay The first artist/composer is Johann Chrysostom Wolfgang, who is better known as Wolfgang Amadeus Mozart but around the world he just known as Mozart. Mozart is such a ‘famous’ composer as throughout the classical era (1750-1820) although he may not have been recognized at the time he was a creative and influential composer. Not many could argue that a man who composed over six hundred works was not influential. Also many of those six hundred works were acknowledged as the peak of symphonic, concertante, chamber, piano, operatic, and choral music. You can now start to see why he was such a significant composer. The second artist/composer is Ludwig van Beethoven, otherwise referred to as simply Beethoven. Beethoven was considered a German composer and pianist. Similarly to Mozart he began his musical career in the classical era (1750-1820) but differently to Mozart he was a crucial figure within the transitional stage between the Classical and Romantic eras in western classical music.

Thursday, November 14, 2019

Comparing Archtypical Fathers in Henry IV and The Chrysalids :: comparison compare contrast essays

Archtypical Fathers in Henry IV and The Chrysalids      Ã‚  Ã‚  Ã‚   An ideal father is one who is both caring and understanding. To fit this mould, one must express these characteristics. The outlook and actions of King Henry IV (Shakespeare, Henry IV Part 1) and Joseph Strorm (Wyndham, The Chrysalids), suggest characters who do not match the mould of the archetypical ideal father.    King Henry IV was a father who thought not much of his son. He sees his son as a riotous, irresponsible young man. King Henry tells Westmoreland that he is envious of Lord Northumberland's son, Hotspur, and that he wishes he could be more honorable. It shows King Henry's lack of trust and grasp of his son through conversations with others. The King has a serious discussion with Prince Hal in act three, where he tells him that he is starting to behave in the same way as King Richard, and since he is acting this way, the people will not want him to be the King. The King has his own ideas on how he thinks that the Prince should live, and for that reason has made the relationship between them very difficult. If only the King would have been more accepting, the Prince could have lived more like himself. Joseph Strorm is a father with very strict rules. He cares more about the physical make up of a person than he does about the actual personality of the person. In the story a very cold side of Joseph Strorm is shown; he never gets close to his son at all. The only conversation shared between Joseph and his children are harsh and is often punishment. The way Joseph responded when David jokingly wished for a third arm showed that he cared more about his image and purity than he did for his own child. Both King Henry and Joseph Strorm lacked the ability to look eye

Monday, November 11, 2019

My Ideal Wife

My Ideal Wife, a Descriptive Essay A popular saying goes, â€Å"Marriage involves three rings: the engagement ring, the wedding ring, and the suffering. † If it is commonly felt that marriage is so difficult, why do most people wish to get married? Probably, the instinct to find a mate is inherent in human beings; and I am no exception. Somehow, I believe that there is someone out there who was made especially for me, and, once I find her, we will fall in love, and get married; and only then will I feel complete. So, how will I recognize the right girl for me?What qualities should I be looking for? It is very important to have a person you can always rely on. I want my wife to be this person. She would be tightly connected with my life. I want to wake up by her tender kiss. The first thing I would see would be her smiling face. She would make a breakfast for us. We would call each other from time to time during all day. In the evening I want to have dinner with her, cooked by her, and fall asleep holding my arm s around her. First of all, my future wife should be my best friend. I want to share all my troubles, sorrows and dreams with her.She would never let me down and I could always rely on her. Secondly, I want my wife to be my partner. Everything would be common for us: our children, our house, our money, and duties. And we would have to make important decisions together. They should be sensible and reasonable. Also, we should trust each other. Next, I want to have a good mother for my future children. She should be warm-hearted, gentle, understanding, and sometimes strict with them because a mother plays more important role in bringing up children than a man does.I wish my children were worthy members of modern society. Then, my wife should be an elegant and a good-looking woman. I want her to have smartness and beauty combined. Nowadays it is quite difficult to find a girl who is smart and beautiful at the same time but I will do my best to find her. Character is more important than looks. I cannot deny that I am attracted to good-looking girls, but marrying solely for physical attraction will probably lead to short term pleasure but life-long regret. I have also noticed that beautiful women are often vain and rrogant, which I find most unattractive. One of the main things that I admire in a woman is humility. Such a woman will not boast about her wealth, intelligence or achievements, but, instead appreciate other people's abilities and achievements. She will also readily admit when she has made a mistake. Such a woman would be a joy to live with. Good communication is the key to any solid relationship, most of all, marriage. I would want my future wife to share her thoughts with me. I want to hear her dreams and to share in her struggles.On the other hand, I will also need someone who will be ready to listen to me, and interested to know what is happening in my life. There should be no secrets between us. Life is full of challenges. We can expect to face failu re as well as success; heartache as well as joy; boredom as well as excitement. So, the perfect wife should have a positive attitude and a good sense of humour. She should be witty and say things which make me laugh. The perfect wife would also be one who can see the silver lining behind every cloud, rather than focus on the flaws in every situation.With such a woman, I will be encouraged to look at life in a happier and more positive way. Above all other qualities, the perfect wife will be faithful. She must be someone who really believes in that marriage is made to last â€Å"till death do us part†. She will be totally committed to our relationship, and willing to stay for the long haul, â€Å"in sickness and in health, for better or for worse†; as couples promise in the wedding vows. The perfect wife would not be distracted by other men; not even when I have lost my looks. He would be a â€Å"one man woman†.In return, I will also promise my total loyalty and faithfulness to my future wife. Actually, there are many other qualities that make a woman an ideal wife. However, while it is easy to make lists, finding a woman to live up to them will be very difficult. Furthermore, instead of focusing on my requirements for the perfect wife, I think I should recognize my own imperfections, and set about correcting them. As Barnett Brickner said, â€Å"Success in marriage does not come merely through finding the right mate, but through being the right mate. â€Å"

Saturday, November 9, 2019

Lab 3 Determinates of Water Hardness

Determination of Water Hardness Using a Titrator Heather Crall Chemistry 1 SMT- 271044 10/17/2012 Abstract From seeing all of my results and conclusion I now see that I didn’t understand this lab very well and that its not easy when others try to help. Since I have hard water it tells me that my water flows over and through rocks and minerals, like limestone. Purpose The purpose of this lab is to become familiar with the concept of water hardness. We learn that hard water contains high levels of dissolved minerals that are in the form of metallic ions.Most of Ohio which is the state I live in either has moderately hard water or hard water. For as my town the city is moderate and the country is hard. Procedure 1) Put safety things on 2) Place the stopcock in the closed position on the end of the titrator and fill with 10 mL of EDTA solution. 3) Put a crumpled up paper towel under the titrator and allow a few drops of the solution to fall into the towel. This way it fills the ti p of the titrator then close and throw the towel away. Then place the 100 mL beaker under the setup. 4) Use the graduated cylinder to measure exactly 10 mL of tap water from your sink. ) Pour the tap water into the beaker then add 5 drops of pH 10 buffer solution. Swirl carefully the mixture in the beaker. 6) Read the volume of EDTA in the titrator and record the initial volume. Then slowly open the stopcock and add 1 drop at a time while swirling the mixture.7) Once the solution turns a pale blue-gray color turn the stopcock off then record the final volume in the titrator. 8) Repeat steps 4-7 and fill in Table 1. 9) Pour the rest of the contents down the drain Data Data Table 1: EDTA titration volume| | Initial EDTA Volume (mL)| Final EDTA Volume (mL)| Total Volume of EDTA Used (mL)| Trial 1| 9 mL| 7. mL| 1. 6 mL| Trial 2| 8 mL| 6. 6 mL| 1. 4 mL| Trial 3| 7mL| 5. 2 mL| 1. 8 mL| Average Volume of EDTA Used (mL): 1. 6 mL | Data Table 2: Water Hardness| Average Volume of EDTA Used (m L)| Concentration Ca^2+ ions per Liter of Water (mol/L)| Water Hardness (ppm CaCO3)| 1. 6 mL| 0. 015 mol/L| 1,500. 9 ppm CaCO3| Results A) Based on the analysis of your local water, would you classify its hardness as soft, moderate, hard, or very hard? Explain your answer. My water is moderately hard even though it’s the city we still have plumbing problems due to our soil and the minerals in our town.The country all has hard water so the deal with rust and bigger clogs than the city. B) Approximately how much calcium would you ingest by drinking eight 8-oz glasses of your local water? HINT: 1 oz(fluid ounces) =29. 57 mL 8oz= 236. 56 236. 56*8= 1,892. 48 mL Conclusion In conclusion it seems as though my results have come to show that I have very hard water when looking at the last graph but to have it say 1,500 tells me that my results is potentially incorrect. From what I understand it shows that the calcium carbonate is very high in my town.

Thursday, November 7, 2019

The Good Place (Analysis of the role of the Mississippi river in The Adventures of Huckleberry Finn)

The Good Place (Analysis of the role of the Mississippi river in The Adventures of Huckleberry Finn) In Mark Twain's "The Adventures of Huckleberry Finn" the Mississippi river serves as a constant in an otherwise scattered narrative. As Huck recounts his adventures, the story moves us, literally, down the river through the heart of the American continent, and through the heart of Huck himself, as he develops in life. The first mention of the river comes in Chapter 2, when Huck calls the river "grand" (252). This characterization of the river as a larger than life figure is indicative of things to come. The river is central in the physical journey of course, but also becomes indicative of Huck's spiritual journey as well.As the book begins, the widow Douglas and Miss Watson are teaching Huck about Christianity. Miss Watson deplores Huck's behavior, asking him, "...why don't you try to behave?" (249). She then tells him about heaven and hell, warning Huck, that within the context of her faith his behavior will lead him to eternal damnation.Huck and jim on raft

Monday, November 4, 2019

SLP 3 HRM - 403 Don't let them just eat cake, designing a Essay

SLP 3 HRM - 403 Don't let them just eat cake, designing a compensation package for expatriates - Essay Example The compensation program developed provides incentive that gives expatriates to work outside the country and must pay well to help them offset their bills and maintain high living conditions in those countries, besides incidences of insecurity risks. Offering international compensation is regarded as internal rate of return as they are highly valued by employee’s performing international duties. It influences the organization’s culture, motivation and performance, and recruitment and selection of competent employees. (Dowling, & Welch, 1999) This is delineated as the amount of money received by an expatriate in the home country. It is affected by the exchange rates. The salaries in the designed package will be paid in home currency. The base pay is also the benchmark through, which helps in the calculation of benefits and bonuses. This is also referred to indirect compensation. It constitutes a portion of international compensation, usually a third of base salary. Benefits include entertainment, gifts, festival celebrations, telephone, and vehicles among others. An employee is likely to stay with an employer that is sensitive to its direct benefits. (Harzing, 2006) This is regarded by this scheme as an important feature of expatriate compensation. Cost of living is the most common allowance provided to expatriates, which help expatriates adjust so that they can enjoy same standards of living as in their home country. Some of these benefits include; reallocation allowance, housing, spouse, and home leave allowance. This refers to an additional payment that is accrued to employees I order to increase the output. Incentives can be either in monetary and non-monetary terms. Incentives will give expatriates reason to remain in the organization. This refers to an inducement, mostly in form of salary so as to accept overseas assignments. Expatriates working in countries, which are hostile to

Saturday, November 2, 2019

Political Perspectives of Marjorie Cohn. Cowboy Republic Essay

Political Perspectives of Marjorie Cohn. Cowboy Republic - Essay Example Given the dominance the United States in world affairs, most justice groups and organizations championing for human rights from around the world, including the United States, became critical about the decision. Despite the United States having signed up to the Rome statute that established the International Criminal Court in 2000, the administration of the then president George Bush unsigned the statute in 2002. Since then, the United States has continued to pressure other countries into signing agreements forbidding them from surrendering citizens of the United States to the International Criminal Court. The United States even threatened to use force, including military force in the event that any of its citizens are held at the court1. Erna Paris attempts to explore why The United States, a country known to be vocal in matters relating to human rights would refuse to protect human rights by not signing up to the Rome Statute that established the International Criminal Court. From a political perspective, the United States had the fear that the International Criminal Court may be used politically by other nations against it. For a long time, the United States continually got involved in dubious schemes around the world. In most cases, it got involved in the propping up of dictators and unpopular regimes. The United States has also been known to train and offer arms to a number of known abusers of human rights. This was mostly done during the period of cold war. The United States justified its actions as being better than if it allowed such countries to adopt communism. The United States was very involved in most regions of the world, citing the domino theory that if a single nation outside its known sphere of influence would fall, others would follow1. Erna Paris grapples with the dilemma in the twenty first century where the rule of international law is challenged by the political power held by the United States. The treaty that set up the International Crimi nal Court categorized as war crimes acts of forced pregnancy, rape, torture and forceful recruitment of child soldiers. The United States objected this inclusion and suggested that the court should only concern itself with genocide cases. The United States, being a large military and economic power, is expected to intervene in catastrophes of humanitarian consequences. This particularly makes citizens and officials of the United States vulnerable to arrests and trials by the International criminal Court in cases of humanitarian crises. The United States, a country known to promote its interests only, knew that the International Criminal Court would expose its political vulnerability to its perceived enemies. Being a country that boasts the best political institutions, the country would become helpless in trying to protect its citizens against the International Criminal Court without appearing to violate the human rights it has always championed for. Marjorie Cohn in the book, Cowboy Republic: Six Ways the Bush Gang has defied the Law, examines six ways of greatest importance that the government of the United States under the presidency of George Bush defied and consequently led to the weakening of the rule of law. The first reason was the establishment of the prison in Guantanamo bay, where suspects of terrorism were held without trial. Despite the president knowing well