Monday, September 30, 2019

A factors that may affect communication Essay

Often when we communicate there is always an overall power within that communication. The speaker may create the status of ring leader. This power throughout communication may be seen as a strength, as they are leading the conversation, however this power may be perceived negatively. The recipient in the conversation may feel small and belittled as there is no chance for them to talk, this may therefore cause communication to be less effective. In health and social care both the care provider and patients have power. The patient would have power over final decisions that need to be made concerning their care, however the care provider would have power over the level of care given. This balance of power should always be shared positively. Power throughout communication plays an important role. The care giver should always take the lead. It is important for the patient to have their say on any decisions that may be made, however if the care provider feels they are making the wrong deci sion they should use their all their power of medical intelligence to persuade the patient to make the right decision. Abuse of power may be seen in the workplace. As an example a care worker may be the subject of abuse) by senior management. The senior management may think that the care worker won’t tell anyone due to his or her higher status. This would be an abuse of power on their behalf as they are using their higher level of management to intimidate. This care workers communication throughout the job may also suffer due to their being in a vulnerable state. A strategy that may help any use and abuse of power being stopped may be to promote individual rights within the workplace. This could help to ensure everyone is clear of what help they could have. Putting staff in touch with trade unions may also help. In relation to the above-mentioned case study, an abused care worker might apply the strategy  of speaking to someone in higher management. If the care worker did not feel comfortable doing this, another idea might be to report it to a complaint company or the police. Reporting to higher management may be seen as a positive or a negative. The positive to this strategy is that fast action could take place to ensure the problem is resolved. However the negative could be that the situation isn’t kept private as each different manger might have to discuss it, this may in turn cause the care worker to feel embarrassed and unsafe. In conclusion I feel the use and abuse of power is a key consideration for the care worker and one that will certainly need to be applied strategically. The use of various strategies to meet various situations will create an image of the personality of the care worker in the eyes of their patient. The final factor which effects effective communication would be the use of alcohol and drugs. When having to care for persons under the influence of these substances the lack communication will become a great struggle and may cause great difficulties. A case study example could be in an A and E unit. If the carer is dealing with a person under the influence they would have to be very patient. The person receiving the care may be angry, the best way to defuse this anger is to make sure the person has enough space, if they feel overcrowded this may make them more angry as they are unaware of what is going on. As a carer you would ensure yourself to talk slowly, you may also find that you have to often repeat yourself. While communicating with someone who has drank or taken substances they may either be quiet and be struggling to talk or they may say things that don’t make any sense. As a carer you would try to make them understand where they are and what is going on. Reassuring may gain trust as they know you are only trying to help. If a carer had to undertake a procedure while the patient was under the influence communication would be key. Making sure the person understands what is happening and why is very important. If the person cooperates this will make the procedure a lot easier however there could be a possibility that the person may decide half way through the procedure that they no longer want it or as the drugs or alcohol are wearing off they may feel more confused. Confusion could cause the patient to become angry against the person who is caring for them. Their only defence mechanism they  may feel they have to defend their- selves may be to act physically against the carer. To help ensure this does not happen communication throughout the whole process is vital. However if the patient still reacts angrily having another carer there should ensure more safety. By making the patient aware of their surroundings could bring both negatives and positives. The positive side to this is the patient is aware of where they are, this may help by them being more comparative in any procedures that may need to take place. However this action could also be looked at negatively by telling the patient about their surroundings might make them not want to be there this may cause their cooperation to be poor. Receiving effective communication with a persons under the influence of drink and drugs can be proven difficult however talking slowly and using appropriate strategies should ensure the communication is as effective as possible.

Sunday, September 29, 2019

Health Care Spending

Health Care Spending Paper Rosie L. Eckford HCS/440 – ECONOMICS: THE FINANCING OF HEALTH CARE July 2, 2012 Instructor: Lori Geddes Healthcare is a very important sector in the countries around the world. The countries and the government always keep some money in their budget in relation to the health care activities in their countries. In the United States of America also, there are certain provisions in relation to the health care. The paper shall discuss about the health care spending in relation to United States of America.It shall discuss about the current level of health care expenditure in United States of America. There are shall be a lot of discussion in relation to the fact that whether the expenditure on health care in United States of America is appropriate or not. It shall also discuss about the manner in which the health care needs of the people in United States of America are paid by the government. In the end of the paper, there shall be a forecast in relation t o the health care spending in United States of America.All the above said things shall be discussed in detail in the current paper. The government of United States of America has made a lot of provisions in relation to the expenditure of health care facilities in United States of America. In the United States of America, the health care spending has been increasing continuously (Hawe, 2008). There have been a lot of funds kept by the government of United States of America in its budget in relation to the health care services.In the year 1990, the expenditure made by the government of United States of America in relation to the health care spending was $714 million. Since then, the amount of expenditure on health care has increase to $2. 3 trillion. This is around 3 times of what it was in the year 1990. The government of United States of America is spending around 16% of its total gross domestic production on providing the health care facilities to the people. It is estimated that a round $7600 are spent by the government ofUnited States of America for each and every resident in the country. In this way, it can be said that the expenditure in relation to health care in United States of America is quite good and the country is taking adequate steps for making sure that adequate health care facilities are provided to the people in a proper and appropriate manner. The health care spending of the United States of America is the highest all around the world. There is no problem with the extent of money spend by the country towards the health care.Other countries around the world are also spending some money towards the health care but the expenditure made by the government of United States of America is the highest. Currently the expenditure incurred in United States of America towards is adequate and appropriate. It has to increase only with the increase in population. According to the per capita expenditure, the current expenditure in the country towards the healt hcare is appropriate. When the country makes the budget in relation to the health care expenditure, then it has to take care that adequate expenditure is incurred on each and every activity related to health care.The government of United States of America should make sure that it spends appropriate expenditure on each and every area of the health care. The expenditure should be more on the critical areas and it should be reduced on the areas which are not very difficult to handle for the government. The government of United States of America should make sure that it increases the expenditure of the health insurance of those people which are not in a position to afford the costs for themselves (U. S. Health Care Costs, n. d. ).The government should also increase the expenditure in relation to the funds provided to the health care organizations for providing the benefits to the poor people in the United States of America. The government of United States of America should also increase the expenditure in relation to some specific and high risk diseases such as Cancer, Aids etc. If the expenditure shall be reduced in relation to the above said activities then, there is a possibility that the people in United States of America shall be benefitted to a very high extent.Other than the above areas, there are certain areas in which the government of United States of America should look to reduce the expenditure. The cost on some of the areas in the health care should not be reduced to the extent it hampers the health care services. If there is a requirement to reduce the health care costs then, these should be reduced only till the services are not affected in a negative manner. The areas in which unnecessary costs are incurred by the government should be recognized and the costs should be reduced in those areas.In the United States of America, there are adequate sources used for the purpose of financing the health care services in the country. In the country, the fund ing for the health care services is done together by the government and the non government agencies in the country. While preparing the budget, the government of United States of America keeps a percentage of funds in relation to providing the health care services to the people who are in need and also the people which are not able to have the health care insurance for themselves. Related essay: Advantages of Free Health CareOther than the government of United States of America, there are various other forms of associations which work for the purpose of providing the health care services to the people. They not only provide the health care services but also provide the financial for the insurance of the patients. There are few programs also in relation to the same. The programs include Healthcare Facilities Accreditation Program, Community Health Accreditation Program and various other programs. The health care finance in the United States of America are funded by the above said facilities and things.In the United States of America, the government and the non government associations share 50% of the expenditure each. In this way, there is a proper sharing the expenditure. For the last few years, the healthcare expenditure in United States of America has been increased considerably at an increasing rate. It is expected that the healthcare expenditure in United States of America shall increase in the same rate as it was increasing earlier (Scambler, 2008). In the year 2007, the health care expenditure in United States of America was $2. 2 trillion.This amount increased to $2. 3 trillion in the financial year 2008. In this way, there was a definite increase in the health care expenditure in the two years. It is expected that the health care expenditure will grow even more. In the year 2013, the healthcare expenditure is expected to reach the figure of $3 trillion and in the year 2017, it is expected that the health care expenditure shall reach the figure of $4. 3 trillion. In this way, it can be said that there is a forecast of increased expenditure on health care in the years to come.The chart below provides the forecast for health care in a proper manner. This chart is showing the healthcare expenditure in United States of America. The government of United States of America is spending a lot of money on the healthcare services in the coun try. With the kind of expenditure, the government of United States of America is spending on the health care facilities in the country, it can be said that the government is spending sufficient amount of money on the health care facilities.For the last many years, there has been an increase in the health care spending in United States of America. With this, it can be projected that the expenditure on health care shall increase to the extent of $4. 3 trillion by 2017. References Scambler, G. (2008). Sociology as Applied to Medicine. (6th ed. ), Elsevier Health Sciences. Hawe, E. (2008). Compendium of Health Statistics. (19th ed. ), Radcliffe Publishing. U. S. Health Care Costs. (n. d. ). Retrieved April 18, 2011 from http://www. kaiseredu. org/Issue-Modules/US-Health-Care-Costs/Background-Brief. aspx

Saturday, September 28, 2019

A monopoly from start to finish Essay Example for Free

A monopoly from start to finish Essay ? During out studies this term we have learned a lot about a Monopolistic way a company is able to maneuver in the business market and I would like to refresh your mind by offering a clear definition. A Monopoly is a situation in which an entity, either an individual or an industry or organization, is the sole supplier of a particular good or service. As such, this supplier has no competition from other suppliers and is able to control the market value of the commodity. Some monopolies are government-enforced or controlled, while others form naturally or through company merger. According to our focus of this paper, we are asking about the long-run competitive equilibrium of the Wonks Company that was earning a normal rate of return and were competing in a monopolistically competitive market structure. One of the questions we must answer regarding this change in business structure is how the company’s shift to a monopoly will benefit the stakeholders involved. One of the stakeholders who may be involved is the government. Monopolies sanctioned by the government are called legal monopolies. These are considered coercive monopolies, meaning that other companies are forbidden by law to compete against them. Governments also maintain some control over monopolies through competition laws, which prevent monopolies from engaging in unscrupulous or anti-competitive practices (http://www. reference. com/motif/Society/advantages-disadvantages-of-monopolies). The second question is how a Monopoly will affect other businesses and after research it is quite obvious from the definition of a monopoly that other companies do not have to worry about competition from other companies in the same market. Consumers are affected by this change because they must either purchase the product or service from the monopoly or do without it. When a company transitions from a monopolistically competitive firm to a monopoly, there will be changes with regard to prices and output from both of these market structures. So, let’s take a closer look at how prices are affected when a firm becomes a monopoly. A common practice among some monopolies is price discrimination, in which the monopolist charges some segments of the population more than others for the same product or service, based on a higher need or a wealthier consumer base. This would usually be called price fixing which is an agreement between participants on the same side in a market to buy or sell a product, service, or commodity only at a fixed price, or maintain the market conditions such that the price is maintained at a given level by controlling supply and demand. When the monopoly is able to prevent buyers from reselling their product, they may be able to price discriminate to accentuate the effects of monopoly power. In my opinion the most important group that is affected by a Monopoly are the consumers. Monopolies can impact consumer prices in two obviously different ways, they can cause prices to drop so low that it forces companies out of business or it an cause prices to skyrocket making it difficult for consumers to purchase a product, neither being a good option for the consumer. If one business is the only provider of a product or service, the consumer is forced to pay whatever the price they demand. This can also lead to the company providing a low quality product or service without fear of losing business (Home, 2009). Since monopolies are the only provider, they can set pretty much any price they choose, regardless of demand, because they know the consumer has no choice. Is this sort of thing fair to consumers? Of course not, but it is how big business is able to stay on top of the market. For example, most people find that Apple products have an outrageous price tag, but I have come to learn that the quality of their products is outstanding and I estimate that Apple will continue to rise in popularity for years to come. It has also come to my attention that because Monopolies try to monitor the price of products they may resort to price discrimination. Price discrimination is sometimes defined as the practice of a firm selling a homogeneous commodity at the same time to different purchasers at different prices . Of course, I believe it is important to understand what and how price discrimination occurs. â€Å"Price discrimination exists when two similar products which have the same marginal cost to produce are sold by a firm at different prices. This sort of practice is highly controversial in terms of its impact on both consumers and rivals† (Price Discrimination, 2006, p. 1). There are many ways to accomplish these sort of conditions because the transactions surely need not be simultaneous; indeed, there is temporal discrimination, such as between Sunday rates and week, day rates, matinee and evening prices, peak rates and off-peak rates, season and off-season prices. To sell different qualities or products with different marginal cost at the same price, or to buy different qualities or factors of different efficiency at the same price, is also discriminatory. Based on all of this useful information we must also answer the question regarding which market structure is more beneficial for Wonks to operate in and will this market structure benefit consumers? In my opinion it is based on the level of quality and service of the products and how much consumers are willing to pay for the products they want to purchase. In a monopolistic competitive market the consumer may choose to purchase a substitute product for a lower price, but only if the consumer values price over value. Of course with a monopoly there may be only a few companies offering a substitute product. If one company’s product becomes too high in price, the consumer will eventually look for another brand that offers similar use. According to economist, the monopolistic competitor’s demand curve is less elastic than a pure competitor and more elastic than a pure monopolist. Monopolistic competitors have excess capacity which means that fewer companies operating at capacity could supply the industry output. It is my opinion that Wonks might operate more beneficially as a Monopoly than at a Monopolistic Competitive firm because they will not have as much competition to deal with and they can corner the market with value and price. Resources: 1. McChesney, F. S. , Shughart II, W. F. , & Haddock, D. D. (2004). ON THE INTERNAL CONTRADICTIONS OF THE LAW OF ONE PRICE. Economic Inquiry, 42(4), 706-716. doi:10. 1093/ei/cbh091 2. Mainwaring, L. L. (1977). MONOPOLY POWER, INCOME DISTRIBUTION AND PRICE DETERMINATION. Kyklos, 30(4), 674. 3. https://www. fcsknowledgecenter. com/uploads/2011_Row_Crops_Industry_Perspective. pdf 4. http://academic. udayton. edu/lawrenceulrich/Stakeholder%20Theory. pdf 5. http://www. answers. com/topic/mergers-and-acquisitions 6. http://www. helium. com/items/1405663-what-is-a-monopoly-what-do-monopolies-do-how-is-the-economy-affected-by-monopolies 7. Case, K. E. , Fair, R. C. , and Oster, S. E. (2009) Principles of Microeconomics (9th ed). Upper Saddle River, New Jersey: Pearson Prentice Hall. A monopoly from start to finish. (2017, Apr 30).

Friday, September 27, 2019

Analysis of Zara case study Example | Topics and Well Written Essays - 1250 words

Analysis of Zara - Case Study Example This made Inditex one of the chief merchants in the world. The major branch, Zara, of Inditex was first launched in Spain in the year 1975 and has currently grown and spread to other parts like German and Portugal. Zara offers stylish designs for gents, ladies, and children. They also vend accessories to complete their merchandise (Zara, 9). The success of Zara, from operations management point of view, can be attributed to many factors as discussed in the subsequent paragraphs. In relation to design and manufacturing, Zara comes up with innovative design collections at the beginning of each season. Moreover, it continuously brings in new items with short lead times all through the year. By providing more fashionable clothes which are not readily available, the customer have limited option, and they have to move quickly in purchasing the little available stock and hence a high turnout for Zara. On the other hand, Zara strategy to embark on the vertically incorporated industrialized undertakings and well-organized production system has also enabled them increase sales. Moreover, there was extensive and equal distribution of production resources across the network of facilities all over the supply chains where errands were well segregated. As a result of this segregation, new clothing design were innovated and were afterw ard displayed it in its stores for vending in a month’s period span. This is a short period span and therefore, manufactured quantities can be solely based on the approximation and any alteration in the production can be made without difficulty and quickly. Secondly, Zara spent modest on advertising for its fashion. As an alternative, it has played attention on opening its stores in major city locations. Across the world, store layouts and pricing of the outfits are also homogeneous so as to reflect the main branch, the H Q in La Coruna (Zara, 9). Despite the fact

Thursday, September 26, 2019

Research Methods - Public Health Essay Example | Topics and Well Written Essays - 2250 words

Research Methods - Public Health - Essay Example Ohio is one of those places where we can find health disparities at a significant level. Studies indicate that the Appalachian adults in Ohio are more exposed to health disparity issues than their peers in other regions. Health disparities related to the environmental exposure pose a double injustice in terms of unequal exposure and unequal access to adequate health care. Health disparities, in general, mean that the burden of disease or environments that cause disease are mostly felt or experienced by some and not all populations. In the United States (US), health disparities are attributed to several factors including: lack of access to healthcare, socioeconomic status or educational background (Moeller, 2005). We look at health disparities from the angle of environmental health. Effects of health disparities are dismal because they include limited or no health insurance at all, which, in turn, prevents them from having access to adequate healthcare and related resources. This is a significant public health challenge which needs to be addressed by effective interventions. This  Abbreviated Quantitative Research Plan (AQRP) is aimed and directed at policy makers at local and federal levels; with the aim of addressing health issues related to industrial manufacturing sites located in residential areas. The plan is also directed towards health services, federal and local public health agencies, companies with polluting businesses and other interested stakeholders. The plan explores the study’s purposes, design, methodology and other aspects of a credible research (Creswell, 2006). According to Moeller (2005), The Pollution Prevention Act of 1990, â€Å"was made into national policy to assure that pollution is prevented or reduced at its source, recycled or treated in an environmentally safe manner, and disposed of or released into the environment only as a last resort† (p.362). Evidence of improvements on human health, especially to

Reflection Papers Essay Example | Topics and Well Written Essays - 250 words - 1

Reflection Papers - Essay Example Similarly, the contestation over the significance and meanings of ‘girl power’ and girl culture have produced new relationship between feminism, girls, and popular culture. In particular, popular culture has always been the primary focus of feminism (Biddle & Gibson, 2009). Apparently, the impact of contemporary life on women and the importance of popular culture to mapping ideologies and desires around the modern woman have been of vast interest to feminists. As a popular civilization, girl culture is conceivably a form of feminism. Many of the contemporary feminist approaches underline the active deployment of popular culture by women. In summary, the complexity in discussing or analyzing the relations between Spice Girls and their fans suggests the difficulty surrounding ‘identification’ (Biddle & Gibson, 2009). According to British cultural theorists, Paddy Whannel and Stuart Hall assert that the pop stars girls admire are tangible idealizations of life of a typical teenager, and not merely remote stars. In addition, the psychoanalytic principle claims that girls are normally characterized by over-investment in objects. The principle reflects or denotes a fear of separation and

Wednesday, September 25, 2019

Do Androids Dream of Electric Sheep Essay Example | Topics and Well Written Essays - 250 words

Do Androids Dream of Electric Sheep - Essay Example Dave Holden, Rick’s fellow bounty hunter goes through a dreadful encounter with Nexus-6. He gets injured in the process and Rick heads an operation that is meant to find and retire the remaining Nexus-6’s. This operation succeeds when Rick finds and kills Polokov. Eventually, Rick retires from bounty hunting after witnessing Resch’s killing of Luba Luft, an android impersonating an opera singer. He terms this killing an absence of empathy towards androids. Could Rick engaging in doublespeak? Why does he abandon bounty hunting on the basis of the inhuman killing of Luft after participating in the elimination of Polokov? I believe that this story presents a paradox. The aspect of empathy that develops in Rick contrasts sharply the life he has lived. The main questions arising from the story are, â€Å"How is hypocrisy demonstrated of Dick’s future society?† and â€Å"How does the theme of mind control manifest in the character of Buster Friendly?† The aspect of decay versus regeneration is emphasized when Dick develops a world that is in peril. The dust of nuclear fallout covers the landscape. This decay is metaphysically represented by kipple. Against this backdrop, Dick suggests that the world can survive and regenerate through decay. This is the tragic irony of the

Tuesday, September 24, 2019

Sexuality and Health Essay Example | Topics and Well Written Essays - 1500 words

Sexuality and Health - Essay Example Upon realising that he won’t be able to have sex anytime soon due to his condition, the patient decided to elicit assistance from the staff regarding procuring the services of a prostitute. In response, the request was escalated to the hospice ethics committee, as well as the legal department (The Independent 2008). Gorin and Arnold (2006) described the complex relationship between human sexuality and health. The term sexual health encompasses a number of phenomena mainly focusing on the health-related outcomes of sexual behaviour. A common perception regarding sexual health is that it is a quality or capability of an individual to avoid committing sexual acts which produce negative consequences such as the spread of diseases or unwanted pregnancies. According to the World Health Organization (WHO), the term sexual health is defined as a state of physical, emotional, mental, and social well-being in relation to sexuality, not just confined to the absence of disease, disability , or affliction. As such, sexual health should be positively viewed as a way of ensuring that individuals are able to create and maintain safe and pleasurable sexual experiences. In addition, sexual health advocates that a person’s sexual rights should be respected, protected, and fulfilled (Gorin & Arnold 2006). Healey and Zimmerman (2010) described the term disability as a frequently used term to denote an individual’s inability to perform tasks which are attainable for a normal human being. However, its definition depends on how it is used. For example, in terms of public health, disability may be perceived on how it affects the general population. In contrast, disability in the public welfare viewpoint may be seen in terms of the provision of services for persons with disabilities. For reasons of clarity, the following terms – impairment, disability, and handicap – are defined as per WHO guidelines. Impairment is defined as a physiological disorder or injury. On the other hand, having a disability is being unable to do a task due to one’s impairment. Meanwhile, possessing a handicap is a social result of being disabled (Healey & Zimmerman 2010). 1.0 The role of health promotion Kirch (2008) maintained that there is no standard definition of the term health prom otion and its definition would depend on the activity it is attributed to. As a generalized term however, health promotion is defined as a process or activity with the aim of encouraging people to take action regarding personal health behaviour and compliance to existing health policies and programs. There are four main components of individual health, three of which involves health promotion. These components are: (1) lifestyle and behaviour; (2) health, social, and other service provision; and (3) socio-economic and physical environment. In relation to the determination of health, health promotion encompasses activities which encourage individuals to act on certain internal and external aspects which influence overall health. Internal aspects refer to determinants of health which individuals have most control such as personal health behaviours. On the other hand, external aspects refer to health determinants in which individuals have very little control such as social, economic, a nd environmental conditions (Kirch 2008). The concept of sexual

Monday, September 23, 2019

Mission Statement & SWOT Analysis Essay Example | Topics and Well Written Essays - 250 words

Mission Statement & SWOT Analysis - Essay Example It means the corporation provides a social platform for the professional people. It shows superior level of organizational commitment towards the general societal welfare. The US based organization has a clear objective to contribute towards the professional society (LinkedIn Corporation). The organization was founded in 2002. Within one era, the company has able to grab almost 20 million members which is itself a staggering record. This kind of huge membership is indicating proactive stance of social responsibility. Across the world the organization has directly or indirectly funded several professional programs. Apart from financial support the company has indirectly communicated towards the society as well. With the help of this business oriented social networking service talented people of the global society has showcased their professional talents and members of the LinkedIn have come across lots of opportunities. All the above discussions and arguments are clearly indicating th at being a professional social networking company the organization has fulfilled all the criterions required for a proactive socially responsible organization. That is why the selection of this stance is absolutely proper with the nature of LinkedIn. Linkedin Corporation. Annual report 2013. April 2014. Web. 10 November. 2014.

Saturday, September 21, 2019

English Language Coursework - Task One and Introduction Essay Example for Free

English Language Coursework Task One and Introduction Essay Task One Robin Lakoff devised a theory of language and gender differences. She believed that women had a greater lexis when describing subjects such as colours where men would have a greater lexis in subjects such as sports. Lakoff also believed that women use more prestige grammar and clear pronunciation with more intensifiers than men. Therefore I have chosen to see whether these patterns occur within boys and girls aged 7-8 to see if they have developed these attributes even at an early age. The audience I feel that would be appropriate to my research are people who work with or study children, A level or university students and people with a general interest of this topic. This is because by working with children you will be keen to pick up new information to help you with your work so you may find some here and an A level student taking English language may look at this for an example. By observing the speech of childrens language I will be able to decide whether there is a difference in gender. People are influenced throughout their lives; they are influenced by things such as their environment, media and social groups. At an early age children are looking towards their families and peers to see how they should act. This shows children are aware upon how to communicate with others, therefore leading the possibility that even at a young age they have the same traits as an adult. The research question I have concluded with is, are language and gender differences apparent within children ages 7-8 as there are in adults? Robin Lakoff stated that there are differences in spoken language between men and women so I have decided to see if children still have these differences. The reason for this is because at such an early age every child is thought of the same and it is hard to see a dominate gender; this was a key issue with early studies of men and women. Robin Lakoff also said women use hypercorrect grammar and pronunciation but since the children are only 7-8 years old they are still learning basic English skills. This means that this point will not apply here since the children are young. I have chosen this topic area because I was not aware that there was a gender difference in language until I was taught it. I have taken a interest in this because men and women are both educated in the same way and thought to be brought up the same so I believed that they would have the same attitude in language. Another reason I have chosen this is because women are seen as the less dominate gender but when I was a child I was not aware of this so I am interested to see if there are signs of this even at such a young age. I expect to find that even at an early age the boys will interrupt more as they tend to be very energetic whereas the girls will be more descriptive in describing an object. Introduction When studying English language I found out that there was gender differences within speech, this took my interest as I believe that women now are equal to men. I felt that some of these differences maybe because of the language men and women use. When researching this topic I found out that Robin Lakoff devised a theory that there are differences between the language of men and women and how males are more dominant speakers than females. This is because females are believed to be less assertive and tend not to interrupt during conversation like men do. This could branch onto discrimination as this a topic seen throughout life and it may give reasons to why females are discriminated more than males since they are not seen as the dominate gender. Another reason why I am doing this because I am interested how we develop our skills when we are young, why we develop them and who influences us on the language we use. I think the way we brought up and the language we are taught to use plays a big role in our society because I feel that each person uses their own distinctive language from each one and another, this is because I could tell a friend from another purely because of the vocabulary and dialect the person uses. Therefore I wanted to look to see if this still applies to boys and girls at a young age where they are seen to be innocent and they would not pick up on these differences. I will do this by talking to children ages 7-8 the same questions and taking down their response. The problem that may arise with this is that some children are more confident than others; this means they will not be as shy with their response as another child would.

Friday, September 20, 2019

Gas metal arc welding

Gas metal arc welding Gas Metal Arc Welding (GMAW) 1 Introduction Welding is the fabrication process of joining two metal pieces permanently by applying heat or pressure or both. Joining takes place by melting and fusing: melting the base metals and applying the filler metal. This is achieved by melting workpieces and adding a filler material to form a pool of molten material (weld pool) that cools to become a strong joint. (Wikipedia) Some advantages of welding are that it produces a strong and tight joining between two pieces, is cost effective, simple and can be mechanized and automated. However welding results in internal stresses, distortions and changes in microstructure in the weld region. GMAW is currently one of the most popular welding methods, especially in industrial environments because it has lead to simplification of the welding process. GMAW is said to be one of the easiest welding processes to learn and perform. This is because in the process, the power source virtually does all the work by adjusting welding parameters to handle differing conditions. GMAW is extensively used in sheet metal industry and automobile industry. It has replaced riveting and resistance spot welding. It has also found applications in robot welding, where robots handle the workpieces and the welding gun to increase the consistency and the manufacturing process rate. The change in welding trends from SMAW to GMAW in the small and medium fabrications, mainly in the automotive industry. The reason is the attempt of manufacturers to maintain quality and decreasing cost.Lateron it was noted that GMAW was not preferred previously because of the limitation of incomplete fusion, which was not preferred for bridge and structural fabrications. However, with increase in the technology in GMAW, such as advancement in pulsed spray mode of transfer of metal, applications of the welding process has increased. Then there were some advancement in pulse metal arc welding by producing spray transfer at low mean currents. In a GMAW, process good thermal and electrical conductivities act as a drawback because such properties lead to excessive heating of base metals. Hence, limiting the use of the gas metal arc welding process. Pulsed gas metal arc welding (GMAW-P) addresses such problems. Another advancement in GMAW is the use of double electrode in the welding proc ess to increase the manufacturing speed. The DE-GMAW allows increasing the melting current while controlling the base metal current at a desired level. They also developed a model to correlate the change in resistance in the base metal required to achieve the desired base metal current. Then came upon the process of laser hybrid welding, which is popular in automotive industry today. They describe the interaction of laser with GMAW during welding and discuss various variables involved during the process. Later on engineers reviewed the droplet transfer models of solid wire. They described the simulation models: SFBT (static force balance theory), PIT (pinch instability theory) and VOF theory. They concluded that results produced by VOF were in confirmation with the experimental results. With advancement in technology of GMAW, its applications have touched new horizon. Therefore, it is important to study about this process in detail. The purpose of this report is to present the process variables, effect of process variables and equipment on the welding process, and sensing and control systems. Advantages, disadvantages and applications of GMAW process are briefly discussed. This report is expected to help future researchers in their research endeavors by acting as a literature review and a guide to the gas metal arc welding process. 2 Methodology This section will briefly describe the types of welding processes and then concentrate on the GMAW process. Different methods of GMAW process, the modes of metal transfer are introduced in this section. Emphasis is laid on the process variables in the GMAW process, equipment used, and the sensing and control systems. In designing a welding process, the effect of different process variables must be considered. Each application has its unique requirements and limitations. These will be in relation to the parameters that can be controlled or not. Also, the equipment used is of great concern in terms of its simple operation and control and uses. It is important to know the process variables that will have affect on the welding process and their relationship with other parameters. The emerging necessity of the welding processes is its automation. With the use of robots in welding, it has become necessary to automate the whole process and monitor and control the operation and quality of weld. Different sensing and control systems under research and recently introduced in the industry are discussed. 2.1 Welding processes Various welding processes have been developed and used in the welding industry depending upon their application, energy source, such as mechanical, electrical, chemical or optical, metals to be welded, location of metals, cost, etc. The three broad classes are: Solid state welding Fusion welding Soldering and Brazing 2.1.1 Solid state welding Solid state weldingis a welding process, in which two work pieces are joined under a pressure providing an intimate contact between them and at a temperature essentially below the melting point of the parent material (Kopeliovich). Two materials bind by diffusion of the interface atoms. The processes that come under this class are: Forge Welding (FOW) Cold Welding (CW) Friction Welding (FRW) Explosive Welding (EXW) Diffusion Welding (DFW) Ultrasonic Welding (USW) Although these processes have advantages, they require thorough surface preparation like degreasing, oxide removal and brushing or sanding. In addition, these processes are expensive. 2.1.2 Soldering and brazin. Soldering and brazing involve melting the filler metal, which then flows into the space between the closely fitted base metals and solidifies. In soldering, the melting point of the filler metal is below 800Â °F while in brazing it is above this temperature. In both these processes, the melting point of the filler metal is below that of base metals. The filler metal is distributed between the properly fitted parts by capillary attraction. Some disadvantages are removal of flux residuals to prevent corrosion, no gas shielding may cause porosity of the joint, large sections cannot be joined, filler materials may contain toxic components and expensive filler materials. 2.1.3 Fusion welding Fusion welding involves the partial melting of two members welded by a heat source and amalgamated into one piece. The thermal energy required for fusion is usually supplied by chemical or electrical means. It may use a filler material like a consumable electrode or a wire. Fusion welding uses a protective layer like gas shielding or flux, which melts and forms a viscous slag on the weld metal that solidifies and removed later. 2.2. Gas metal arc welding (GMAW) Gas metal arc welding (GMAW) or metal inert gas (MIG) welding or metal active gas (MAG) welding is a semi-automatic or automatic arc welding process, which joins metals by heating them to their melting point with an electric arc. A continuous, consumable electrode wire and a shielding gas are fed through a welding gun. MIG involves use of an inert gas while MAG uses active gas like oxygen or carbon dioxide. 2.2.1 GMAW process Gas metal arc welding process usually comprise of a constant voltage, direct current (constant current or alternating current systems can also be used) arc burning between a thin bare metal wire electrode and the work piece. The arc and weld area are encased in a protective gas shield, fed through the welding gun. A continuous, consumable wire electrode is fed from a spool, through the welding torch/gun, which is connected to the positive terminal into the weld zone. 2.2.1.1 Parameters. The parameters of GMAW process are: Shielding gas Electrode size Electric parameter: voltage and current (continuous current is used) Feed rate (of electrode) Travel speed The shielding gas like carbon dioxide or a mixture of carbon dioxide and argon helps protect the molten metal from reacting with the atmosphere. Molten metal when exposed reacts with oxygen, nitrogen and hydrogen in the environment. Shielding gas flows through the gun and cable assembly and out of the gun nozzle with the welding wire to shield and protect the molten weld pool. The risk of reacting of metal with atmosphere limits the use of GMAW indoors because outdoors wind can blow the shielding gas away from the work piece and result in reaction. The consumable wire commonly is copper colored mild steel, which has been electroplated with a thin layer of copper to protect it from rusting, improve electrical conductivity, increase contact tip life, and improve arc performance. 2.2.2 GMAW methods. GMAW can be performed in three different ways: Semiautomatic Welding wire feeding is controlled by the equipment and the movement of welding gun is by hand. Also called hand-held welding. Machine Welding a gun is connected to a manipulator (not hand-held). Manipulator controls are adjusted constantly by an operator. Automatic Welding welds without the constant adjusting of controls by a welder or operator. 2.2.3 Mode of metal transfer in GMAW. GMAW use four different modes to transfer metal from the electrode to the work piece. These are: Globular mode of transfer Short-circuit transfer Globular transfer Spray transfer Pulse-spray transfer 2.2.3.1 Short-circuit transfer Short circuit transfer refers to the welding achieved by short-circuiting (touching) welding wire with the base metal between 90 200 times per second. The wire feed speeds, voltages, and deposition rates are usually lower than with other types of metal transfer such as spray transfer. This facilitates welding thin or thick metals in any position. A typical Short Circuit Cycle can be summarized in following steps: Electrode is short-circuited to base metal. No arc and current is flowing through electrode wire and base metal. Resistance in electrode wire increases causing it to heat, melt and neck down. Electrode wire separates from weld puddle, creating an arc. Small portion of electrode wire is deposited, which forms a weld puddle. Arc length and load voltage are at maximum. Heat of arc flattens the puddle and increases the diameter tip of electrode. Wire feed speed overcomes heat of arc and wire approaches base metal again. Short circuit cycle starts again. 2.2.3.2 Globular Transfer Globular transfer refers to the state of transfer between short-circuiting and spray arc transfer. Large globs of wire are expelled from the end of the electrode wire and allowed to enter the weld puddle. This type of mode of transfer results when welding parameters such as voltage, amperage and wire feed speed is somewhat higher than the settings for short circuit transfer. 2.2.3.3 Spray Arc Transfer Spray arc transfer refers to spraying a stream of tiny molten droplets across the arc, from the electrode wire to the base metal. Spray arc transfer uses relatively high voltage, wire feed speed and amperage values, compared to short circuit transfer. Inert argon rich shielding gas is used for best results. 2.2.3.4 Pulse-spray Transfer In the pulse-spray transfer mode, the power supply is made to cycle between a high spray transfer current and a low background current. It is different from the spray transfer in that it allows the super cooling of the weld pool during background cycle. In each cycle one droplet transfers from the electrode to the weld pool. The low background current allows pulse-spray mode of transfer to weld out of position on thick sections with higher energy than the short-circuit transfer, thus producing a higher average current and improved sidewall fusion. It can be used to lower heat input and reduce distortion when high travel speeds are not needed or cannot be achieved because of equipment or throughput limitations. 2.2.4 Process Variables The process variables of the GMAW affect the welding efficiency and weld quality. These variables either act alone by affecting the final product or they interact with each other and affect weld penetration, bead geometry. It is important to study these variables and have their set limits for a desired welding process and good overall weld quality. The enough penetration, high heating rate and rightwelding profile make the quality of welding joint. These are affected by welding current, arc voltage,welding speed and protective gas parameters. Table 1 shows the effect of different process variables on penetration depth, deposition rate, bead size and bead width. Table 1: Effect of process variables on penetration, deposition rate, bead size and bead width. Welding variables Desired changes to change Penetration Deposition rate Bead size Bead width Increase Decrease Increase Decrease Increase Decrease Increase Decrease Current and wire feed speed Increase Decrease Increase Decrease Increase Decrease Little effect Little effect Voltage No effect No effect Little effect Little effect Little effect Little effect Increase Decrease Travel speed No effect No effect Little effect Little effect Decrease Increase Decrease Increase Electrode extension Decrease Increase Increasea Decreasea Increase Decrease Decrease Increase Wire diameter Decrease Increase Decrease Increase Little effect Little effect Little effect Little effect Shield gas % Increase Decrease Little effect Little effect Little effect Little effect Increase Decrease Gun angle Drag Push Little effect Little effect Little effect Little effect Push Drag a change will occur if current is maintained by wire feed speed. http://products.asminternational.org/hbk/index.jsp The process variables are listed and discussed below: Welding current (electrode feed speed) Polarity Arc voltage (arc length) Travel speed Electrode extension Electrode orientation (gun angle) Electrode diameter 2.2.4.1 Welding current Welding current is the electrical amperage in the power system as the weld is being made. In GMAW constant voltage power sources (voltage) are used, therefore, amperage is thought to be controlled by wire feed speed. Welding current is read from the power source meter or a separate ammeter is often used. The total welding amperage or current supplied to the arc is determined by the wire feed rate, open circuit voltage setting and the slope setting on the welding power source (Figure 1 and Figure 2). The faster the wire feed speed, higher is the welding amperage. However, the wire feed speed only determines the balance between the welding current and the load voltage at the arc. When all other variables are held constant, an increase in welding current results in an increase in the depth and width of penetration, deposition rate, and weld bead size. This makes GMAW arc was made self-regulating. i.e. if the welder pulls the torch away from the workpiece—raising the arc length and arc voltage—the power supply drops the arc current to burn off wire at a slower rate until the preset arc voltage was re-established. If the welder pushed the torch toward the work—shortening the arc and reducing the arc voltage—the power supply quickly raised the welding current to burn off more wire until the preset arc voltage was re-established. 2.2.4.2 Polarity Polarity describes the electrical connection of the electrode (welding gun) with the terminal of a power source. When the gun power lead is connected to the positive terminal, the polarity is designated as direct current electrode positive (DCEP). When the electrode or the gun power is connected to the negative terminal, the polarity is designated as direct current electrode negative (DCEN). When alternating current (AC) is used, the polarity changes every half cycle of 50 or 60 Hz. In GMAW usually DCEP is used because it yields a stable arc, smooth metal transfer, relatively low spatter, good weld bead characteristics and deep penetration for a wide range of welding currents. On the other hand, DCEN results in the molten droplet size tends to increase and the droplet transfer becomes irregular (Figure 3). This increases large grain spatter. Some wires with unique chemical composition have been developed for DCEN, which give excellent results on galvanized sheets. Variable polarity gas metal arc welding (VP-GMAW) is the current trend in the welding industry. Inverter pulse power supplies allow to combine DCEP and DCEN polarities in varying amounts (Figure 4). In their research, Harwig et al. (2000) showed that VP-GMAW could be used for welding thin gage aluminium sheets. They noted that during DCEN polarity, droplet formation takes place and it is transferred across the arc by DCEP polarity. They said that DCEN could be added up to 60 % to the current, beyond that the arc becomes unstable. 2.2.4.3. Arc Voltage Arc voltage is the amount of voltage present between the electrode and workpiece. Arc voltage and arc length are used interchangeably. Arc voltage is an approximate means of defining the physical arc length in electrical terms. However, one physical arc length could yield different arc voltage readings, depending on factors such as shielding gas, current, and electrode extension. If all these variables are kept constant, arc voltage and arc length can be correlated i.e. with increase in voltage setting, arc length increases. The welders are interested in arc length, but arc voltage is easy to monitor and must be specified in welding procedures. Therefore, its the arc voltage that is most commonly used term than the arc length. Arc voltage controls the height and width of the weld. Any increase in arc voltage from specific value, flattens the bead and increase the width of the fusion zone. Very high voltage results in porosity, spatter (unstable arc), and undercut. However, a voltage less than required will result in narrower weld bead with higher crown i.e. wire stubs on the work. Therefore, voltage must be set midway between high/low voltages. 2.2.4.4. Travel speed is the speed at which a welder moves the electrode along the joint to make a weld. Technically its the linear rate at which the arc is moved along the weld joint. Weld penetration is always maximum at intermediate travel speed, when all other conditions are constant. If low travel speed is used, the arc will impinge on the molten weld pool than working on the base metal and hence affect penetration efficiency. Large increase in travel speed will result in less thermal energy on the base metal. At high speed, the rate of melting of base metal is increased first and then decreased. If travel speed is increased any further, undercutting along the edges of weld bead may occur because of insufficient deposition of filler metal in the path melted by the arc. High speed GMAW as signifies uses high travel speeds. Rapid Arc Company uses pulsed GMAW for faster travel speeds, low spatter, out of position operation and lower heat input. They achieve high travel speeds by using lower arc voltage i.e. shorter arc length, this reduces spatter and washed out bead profile, allowing high torch travel speed. They divided rapid waveform into four parts (Figure 5): Pulse: A sudden increase in current increases arc energy, and forms and squeezes a molten droplet extending from the end of the electrode. Puddle Rise: The ramp down of current relaxes the plasma force, depressing the puddle, allowing it to rise up towards the droplet. Short : The arc collapses, and the droplet contacts the weld puddle. Puddle Repulsion: immediately following a short breaking into an arc, a gentle plasma boost pushes the puddle away and conditions the electrode tip. This ensures reliable separation of the wire tip and the puddle resulting in a stable rhythm of the cycle. 2.2.4.5 Electrode orientation Electrode orientation is the angle of the electrode axis with respect to the travel direction. This is called the travel angle. On the other hand, it could be the angle of the electrode axis with the work surface. This is called the work angle. When the electrode points in a direction opposite to the travel direction, it results in a trail angle and is called the backhand welding technique. When the electrode points in the direction of travel, it results in a lead angle and is called the forehand welding technique. The maximum penetration is achieved for trailing travel angle between 5 to 15Â ° (from perpendicular). This also provides a narrow, convex surface configuration and shielding of the molten weld pool. However, the leading travel angle provides the welder better visibility and a flatter weld surface. This is more commonly used technique. For materials such as aluminum, a leading angle is preferred, because it provides a cleaning action ahead of the molten weld metal, which promotes wetting and reduces base-material oxidation. This is because the leading angle of the electrode pushes the molten metal and slag ahead of the weld. When producing fillet welds in the horizontal position, the work angle should be about 45Â ° to the vertical member. 2.2.4.6. The electrode extension The distance between the last point of electrical contact (usually the gun contact tip or tube) and the end of the electrode. An increase in the amount of this extension causes an increase in electrical resistance. This, in turn, generates additional heat in the electrode, which contributes to greater electrode melting rates. Without an increase in arc voltage, the additional metal will be deposited as a narrow, high-crowned weld bead. The optimum electrode extension generally ranges from 6.4 to 13 mm for short-circuiting transfer and from 13 to 25 mm for spray and globular transfers. 2.2.4.7. The electrode diameter Influences the weld bead configuration. A larger electrode requires a higher minimum current than a smaller electrode does to achieve the same metal transfer characteristics.Higher currents, in turn, produce additional electrode melting and larger, more-fluid weld deposits. Higher currents also result in higher deposition rates and greater penetration, but may prevent the use of some electrodes in the vertical and overhead positions. 2.2.5 Equipment The basic assembly of GMAW containing the components of equipment can be seen in Figure 6. It is important to study each part of the equipment to reach the required quality of the weld. Each application of GMAW will have a specific requirement for each part. Therefore, these can be controlled or modified to change the welding process to achieve good welding efficiency and quality. The fundamental equipment for a typical GMAW installation includes: Welding gun Electrode feed unit Welding control mechanism Power source Electrode source Regulated Shielding gas For automatic welding equipment the wire feed unit and the current contact and gas barrel are combined in a single welding head (Figure 7). For Semi automatic welding flexibility is generally achieved by separating the wire feed unit from the torch and passing wire, gas, current and cooling water through the flexible conduit. Wire-feeding complexities must be considered using these systems. High powered motors are required to push wire for several yards. Ferrous metal wires can be fed through smooth, flexible and rigid spiral steel wire-feed tubes. But, aluminium and non-ferrous metals are difficult to feed through tubes until they are nylon lined. The wire feed difficulties increase with decreasing wire diameter. Welding current in GMAW equipment is introduced to the wire by passing it to a copper tube. A variation in point of current pick up can alter the resistance between contact and arc and cause variations in burn-off rate because of its effect on overall circuit resistance. With high currents or high resistance metals the current contact tube is shortened or fitted with small tip diameter tip to reduce variation. Water cooking is required for equipments that have automatic welding heads and those that work at about 250 A. Water cooling and chromium-plated surface make removal of fume and spatter from the nozzle easier. POWER CABLE (NEGATIVE) POWER CABLE (POSITIVE) WELDING VOLTAGE CURRENT DETECTION 115 VAC IN TO PRIMARY POWER 230/460/575 V COOLING WATER IN SHIELDING GAS IN TO CARRIAGE DRIVE MOTOR 115 VAC IN TRAVEL START/STOP WIRE FEED MOTOR SHIELDING GAS IN COOLING WATER IN COOLING WATER OUT The parts of GMAW are discussed below in detail. 2.2.5.1Welding gun Responsible for delivering the electrical current to the electrode, and directs it to the work piece and allows the flow of shielding gas to the weld area. The choice of welding gun is critical, but often ignored over power source, wire feeder, and shielding gas, which are most costly. Proper choice can give good welds and productivity. Different types of guns are used for different applications: heavy duty guns for high current and high volume production, and light guns for low current and out of position welding. Figure 8 shows the most commonly used gun, which is air cooled. Water cooled gun is used for high current requirement. Welding guns are rated on their current-carrying capacity. If inert gas is used, the gun rating is reduced to a much lower extent. A welding gun can be equipped with its own electrode feed unit. Parts of welding gun Back end is the power pin that connects the gun and power cable to the wire feeder. This connection must be tight. A loose connection between the gun and the feeder can cause electrical resistance throughout the entire system. This will result in overheating, which may damage the gun or the wire feeder. This may also cause gas leakage and poor conductivity that can lead to an erratic arc and poor weld quality. Usually a supportive strain relief is provided at the connection between the power cable and wire feeder. This helps in good wire feeding, which results in a stable arc and quality welds. There is another option of selecting a gun with multiple feeders for various GMAW applications reducing overall cost. Contact tube: is used to transmit welding current to the electrode and to direct the electrode towards the work. It is usually made of copper or a copper alloy and connected electrically by power cable to the power source. The tube hole for wire input is of 0.13 to 0.25 mm larger than the wire being use, larger for aluminium and non ferrous metals. Nylon lining is used for non ferrous metals and aluminium electrodes. This inner surface of the tube has to be changed in case of excessive wear, which may result in poor electrical contact. Consumables (nozzles and tips): The nozzle in the welding gun directs the shielding gas into the welding area. An even flow must be maintained to protect molten weld from the environmental gases. Larger nozzles are used for high current work with large weld pool and small nozzles used for low current work. Consumables are selected based on longevity instead of price. This reduces costs of replacement parts and changeover time. Non-threaded, large-base contact tips that fit securely to the diffuser provide good electrical conductivity and heat transfer. It is important to use heavy-duty tips and nozzles that provide good gas coverage to help ensure good arc starts, less spatter, and less rework and cleanup. Electrode conduit and liner support: protect and direct the electrode from the feed rolls to the gun and contact tube. They are connected to a bracket adjacent to the feed rolls on the electrode feed motor. It is necessary to maintain uninterrupted electrode feeding for good arc stability. The liner is the most critical component of the GMAW gun because of the problems that can arise from it. A steel liner is used for steel and copper electrodes, whereas nylo

Thursday, September 19, 2019

Bill Gates: One of America’s Greatest Essay -- Biography, Bill Gates

When people think of a hero they think of Superman, Batman, or Spiderman, but what they should think of are people that make difference. Bill Gates has made a huge difference in today’s world; he is an extremely successful entrepreneur, an active philanthropist, and a very motivated person in general. With this motivation he has and will accomplish anything he puts his mind to. He was CEO of Microsoft and became the richest man in the world. He also created one of the most credible and generous charitable organization in the world. As a positive influence on today’s world, Bill Gates has proven himself as person with his good work ethic, positive attitude, and great accomplishments. To become one of the most influential people in the world, Gates had to have the work ethic and determination to get there. With great work ethic he started, as a child, with debugging computers for local people in his town (â€Å"Gates, William Henry, III† 1). This also started his love for computers, and as he researched and started figuring computers out he became more skillful with them. After he started debugging computers, he began to dabble in writing software programs, his first program that he and his friends made was a computerized payroll system for his high school (â€Å"Gates, Bill† 1). He and his friends then proceeded to make more complicated programs, such as Traf-O-Data, which was a traffic counting program that Gates and his partner Paul Allen sold to the city they lived in for $20,000 when they were just fifteen years old (â€Å"William H. Gates† 1). Another activity that Gates and his friends used to enjoy was going through their local software company’s garbage, looking for discarded software programs. When they found these progra... ... caring he is; he donated much of his money to save millions of lives so to make the world a better place. People look up to him for many things, but this is the most noble and beneficial, which turns an influential person into a quintessential role model for millions of people. Bill Gates, a positive person and role model, has done much for this nation and world with his motivation, ability to learn, and positive attitude. He is one of the most successful people alive because of all that he has achieved, and all that has done. As a child he was just as motivated, with his software engineering and business savvy, as he is as an adult today. He has achieved so much, the status of entrepreneur, business man, and philanthropist. He continues to surprise the world with his accomplishments and will not stop; he is someone to look up too, a modern day hero.

Wednesday, September 18, 2019

Essay on Taming of the Shrew: Stand by Your Man -- Taming Shrew Essays

The Taming of the Shrew:   Stand by Your Man - The Psychotherapist Perspective  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The universal nature of the themes in The Taming of the Shrew,   beg analysis and social critique. This comedic farce, by William Shakespeare, creates an elegant depiction of a modern life and romantic love with all of its masks and pretensions. It is easy to assume the perspective of a psychotherapist while witnessing the drama of Katherine and Petruchio’s love affair unfolding. Concepts like â€Å"emotional repression† and â€Å"therapeutic catharsis† neatly fit the â€Å"taming† scenario. In fact, this play offers many new insights into what it takes to create an enduring, viable marriage—if one understands it from a very contemporary, psychotherapeutic or even spiritual point of view. If one is distracted by the recent feminist perspectives of this play, it is easy to miss the integrity and practicality expressed in Katherine’s final exhortation to women on how to love their men:    Thy husband is thy lord, thy life, thy keeper, Thy head, thy sovereign, one that cares for thee, And for the maintenance commits his body To painful labour both by sea and land, †¦Ã¢â‚¬ ¦.I am ashamed that women are so simple To offer war where they should kneel for peace†¦.. (Act V, ii, (150-153), (165-166)    Viewed through the lens of a one kind of feminist critic, we could ask: wasn’t Kate’s â€Å"taming† the result of a brutal conditioning by a manipulative Petruchio who was a kind of shrewd â€Å"behavioral psychologist?† For at the close of the play, in this passage especially, Kate appears to have metamorphosed from an intractable, ill-tempered woman into a subdued, submissive â€Å"Stepford Wife† for Petruchio. And wasn’t her final speech a humilia... ...nt to creating a deeper, more harmonious relationship involved a mature acceptance of the dark, shadow sides of Kate. The â€Å"baggage† of her wounded past with all of its unmet needs had been waiting to be loved and transformed. In the radical courtship of Kate and Petruchio, all â€Å"buttons† got pressed, character armor was released, and in the mirror of lover and beloved, childhood vulnerabilities eventually diminished freeing up enormous reserves of creative energy.   It is in this light that I appreciate Kate’s final impassioned speech to the other women who, in their selfish defiance of their new husbands had acted immaturely. For here, Shakespeare ironically exposes Bianca as the real, untamed shrew and reveals a very sagacious and loving Katherine. Works Cited: Shakespeare, William. The Taming of the Shrew. Ed. David Bevington. New York: Longman, 1997

The Blank Slate of Frankenstein’s Mind :: Frankenstein Essays Brain Locke Papers

The philosophical root of Frankenstein seems to be the empiricist theory first promoted by John Locke in An Essay Concerning Human Understanding. In that essay, the mind is concieved as beginning as a blank slate or tabula rasa, upon which the various impressions gained by the outside world shape the personality. According to this strict empiricism, the mind contains no innate basis for the basic prerequisites for human socialization: a social code and/or morality with empathetic roots. As a result of the monster's isolation, he is unable to sympathize with human beings and loses respect for other intelligent life. Even though the monster has good intentions, his beneficence is subverted by the negative and anti-social reactions he receives from the people he encounters. The most blatent passages in support of the tabula rasa can be found in the monster's account of the impressions of his early life at the beginning of Chapter IX (pg 70 Dover Edition). The relevant portion starts at the beginning of the chapter, but the passage of most interest is reproduced below: "Several changes of day and night passed, and the orb of night had greatly lessened, when I began to distinguish my sensations from each other. I gradually saw plainly the clear stream that supplied me with drink, and the trees that shaded me with their foliage. I was delighted when I first discovered that a pleasant sound, which often saluted my ears, proceeded from the throats of the little winged animals who had often intercepted the light from my eyes. I began also to observe, with greater accuracy, the forms that surrounded me, and the boundaries of the radient roof of light which canopied me. Sometimes I tried to imitate the pleasant sounds of the birds, but was unable. Sometimes I wished to express my sensations in my own mode, but the uncouth and inarticulate sounds which broke from me frightened me back into silence." While this account is probably a poor model of how an actual entity would behave upon being thrust into a brand new world of sensations with sufficient cognitive apparati to comprehend the impressions (categories and systemization are utilized almost immediately, although there would be no reason for the monster to arrange things in this way, "light from my eyes" is a physical principal [an incorrect one at that] and would not likely be used in a naive description. The Blank Slate of Frankenstein’s Mind :: Frankenstein Essays Brain Locke Papers The philosophical root of Frankenstein seems to be the empiricist theory first promoted by John Locke in An Essay Concerning Human Understanding. In that essay, the mind is concieved as beginning as a blank slate or tabula rasa, upon which the various impressions gained by the outside world shape the personality. According to this strict empiricism, the mind contains no innate basis for the basic prerequisites for human socialization: a social code and/or morality with empathetic roots. As a result of the monster's isolation, he is unable to sympathize with human beings and loses respect for other intelligent life. Even though the monster has good intentions, his beneficence is subverted by the negative and anti-social reactions he receives from the people he encounters. The most blatent passages in support of the tabula rasa can be found in the monster's account of the impressions of his early life at the beginning of Chapter IX (pg 70 Dover Edition). The relevant portion starts at the beginning of the chapter, but the passage of most interest is reproduced below: "Several changes of day and night passed, and the orb of night had greatly lessened, when I began to distinguish my sensations from each other. I gradually saw plainly the clear stream that supplied me with drink, and the trees that shaded me with their foliage. I was delighted when I first discovered that a pleasant sound, which often saluted my ears, proceeded from the throats of the little winged animals who had often intercepted the light from my eyes. I began also to observe, with greater accuracy, the forms that surrounded me, and the boundaries of the radient roof of light which canopied me. Sometimes I tried to imitate the pleasant sounds of the birds, but was unable. Sometimes I wished to express my sensations in my own mode, but the uncouth and inarticulate sounds which broke from me frightened me back into silence." While this account is probably a poor model of how an actual entity would behave upon being thrust into a brand new world of sensations with sufficient cognitive apparati to comprehend the impressions (categories and systemization are utilized almost immediately, although there would be no reason for the monster to arrange things in this way, "light from my eyes" is a physical principal [an incorrect one at that] and would not likely be used in a naive description.

Tuesday, September 17, 2019

Children and young people developent

There are many transitions a child or young person will have to go through in their lives, this will start from a very early age and continue through to adulthood. The first time away from a main career or parent is a huge transition and can be very traumatic for a child, especially if they are left with someone they don't really know very well. Babies form attachments with mall careers and people they see on a regular basis.It is important for them to realize that their career is going to return, this cannot be explained to a young baby so it is only by the career leaving and then turning that a baby would realize they are going to return. The baby receiving positive attention, cuddles and someone talking to it In a calm manner would help to reassure the baby whilst the career was away. If this was handled negatively within the first few months of a babies' life then it could have a negative impact on their feeling of security and self-worth at a later date.Those children who have e xperienced an Insecure attachment where sensitivity to their needs has not been met or understood respond to challenge with less confidence and face adversity with rater uncertainty. The ability to tolerate and manage change is essential to healthy living and development; however, those children who have experienced an insecure attachment will be less equipped to manage changes than others. (Young minds in school) The birth of a younger sibling is another huge transition for a child and can cause confusion, possible feelings of being pushed out or ignored as oppose to feeling happy and content.When a new baby is born Into a family unit it Is very Important that any existing children are not made to feel left out. If the new baby was to receive instant attention the existing child could begin to feel unimportant, ignored and ultimately unloved which could lead to the child having conflicting feelings about the new sibling and long lasting emotional affects. Although they may be overj oyed at having a younger sibling they could also have conflicting feelings and feel jealous of all the attention the new baby receives.This could cause the child to display anger and Jealousy at times towards the baby which could later lead to problems for the siblings In building a close, positive relationships, fighting to take attention from each there and being overly competitive. It could also have a negative impact on a chills feeling of self-worth and confidence which could cause in-security issues which could last into adult hood. Starting nursery, changing schools, moving house or to a new area can be traumatic and emotional for a child or young person of any age.The feeling of the unknown entity, not knowing what to expect, settling Into a new environment and possibly not knowing anyone and having to make new friends can be a very emotional and upsetting time. It can be very worrying for a child wondering If they are going to fit In, will people like them, are they going t o get bullied. All these Issues can feel overwhelming to a child and If the transition Isn't handled or dealt with sensitively then this could lead to insecurity issues and affect their feelings of self-worth and confidence. Toilet training and completing simple personal tasks like achievement for a young child.Not all children find this as easy to master as others. It is important to praise and encourage any progress the child makes, no matter how small or it could again affect the chills feeling of self-worth and confidence if they re made to feel like a failure or constantly compared with the progress of another child. A child will need constant encouragement in any area they are learning to do things for themselves no matter how small the progress may seem. This will help them to have confidence in their choices and achievements, assist in building security, self-worth and individuality.Choosing study options ready for entering higher education can be a very worrying time for a young person. Support and guidance during this time, choosing what will be relevant to their long term plans ND what they are realistically capable of achieving is very important. This should be handled sensitively so the young person feels they have made their own decisions and confident they are capable of achieving their goals. Negative comments when receiving guidance and support could cause them confusion around how they feel regarding their academic capabilities and leave them feeling unsure and self- conscious.Parental divorce or grief can cause a child or young person huge emotional trauma. It will often cause feelings of blame and maybe even feelings of abandonment. Sometimes when parents become divorced a young person can feel they have to support the parent that is left at home or maybe feel guilty about the parent who has left the family home and maybe lives alone. If a family member has passed away the parents or even siblings may not appear to be coping and the young p erson may again feel responsible for their family members.Their own needs may not be met due to caring for others and their possible feelings of abandonment or blame may not be dealt with. It is crucial a young person feels supported during this transition and receives any help or counseling they may require. If this support is not received then the child could carry feelings of abandonment and blame into adult hood which could have detrimental effects on a young person. They may have issues around trust and struggle building positive relationships.A young person being away from the family home into care is a massive transition and can cause major trauma for a child or young person. The thought of going to live with potential strangers, often only being able to see their family periodically and contact possibly having to be supervised is a huge transition for a child or young person to have to go wrought. They will often have come from homes where there is little or no structure and often no real boundaries for them to follow. This can be very distressing when they are suddenly placed in an environment surrounded by structure, boundaries and routine.If this transition isn't handled sensitively it can have detrimental effects to the young person and their feeling of belonging. Although the home they have left may have been unsafe or unstable it was still their home and what they have been used to. The transition period can often be an unsettled period of time while they lid positive relationships and learn to trust the people caring for them. Building these relationships will hopefully have a positive impact on their future outlook and enable them to have confidence in themselves and any choices they make.It will also help with their self-image and self-esteem and show them that they can rely on someone else to help them with situations they may find difficult. Eventually they will they want does actually matter. Ultimately we aim to not only show a child what is deemed acceptable and appropriate behavior but also that they are as important as anyone else and deserve all the same life chances. Their wishes and feelings are very important and people do care. Along with these changes there are a number of others, such as puberty, sexual awareness and activity.There will be a change in their body and possibly emotionally which isn't always easy for a teenager to understand or deal with. Confusion surrounding sexuality and the unknown entity of sex and discovering who they are can be a very troubling and unsettling for some. Leaving home and adapting to being alone and having to think and do everything for homeless. Budgeting as well as shopping, cooking and cleaning. Not having someone there all the time. The need for developing independent skills such as budgeting and proportioning can be a very traumatic time.Realizing how much things cost when they haven't been used to having to pay for many items within the home. The loss of mobility for some children can be a massive life changing transition. The need to learn new skills in order to complete tasks or even Just to manage getting about, often in a different way to what they have been used to. A number of the above transitions could affect a child's confidence, feelings of security and self-worth if they were consistently handled in a negative way. As we have explored there are many transitions a child or young person will go through.Many can have long lasting effects and if not dealt with appropriately as the transitions arise can be detrimental to a young persons' feelings of self-worth and confidence later in their life. Handling transitions in a positive manner and having support, guidance and someone to turn to they can trust can have a huge positive impact on their future choices in life, giving hem confidence in themselves and hence improving their feelings of self-worth, Many of the children I look after have not been positively supported in many of the above transitions which has resulted in them lacking self-confidence, security and self-worth.They often have very low self-esteem and don't really have the ability to handle emotional situations in an appropriate manner. Instead of being able to discuss feelings they will become abusive or even violent at times. Often seeking comfort by self-harming or running away from any issues and putting themselves in unsafe situations and participating in risk taking activities. We strive to educate the young people and arm them with coping strategies to help them deal with things in a safer, more appropriate manner.By staying firm, not giving up on them and showing them that we care and are there to help them deal with any issues or situations that may arise we will hopefully show them that it is safe for them to trust, build positive relationships and rely on someone else for support. This is often hard for a young person to understand when they have felt constantly let down, unworthy and insecu re. They may have been abused or sexually exploited which has added to their lack of self-respect and self worth.Never really had the chance to build positive, appropriate relationships and don't really understand how to do so. They show promiscuous behavior and can use sex to either get what they want or as a form of personal control or release. The support and secure home base they receive, along with the non-judgmental positive relationships they will be encouraged to build once living in our home will start to equip them with the security and confidence they lions.

Monday, September 16, 2019

Butterfly Life Cycle

A butterfly collector is studying a species of butterfly that has expanded its range into a new area over the last thirty years. The butterflies in the new area feed on a species of flower that has a deeper throat than the flowers exploited by the butterfly species in its original range. The average length of the proboscis that is used to suck nectar from flowers is also greater in butterflies that inhabit the new area. The butterfly collector makes a very valid hypothesis saying that the butterflies have adapted and evolved to their surroundings by having longer proboscis.Evolution plays a key role in how animals survive, change and evolve according to their surroundings. It is no surprise that if the flowers grew longer, the butterflies would have to adapt their own body in order to reach the nectar. Once the butterflies adapted this trait to live, it was soon passed on to their offspring until all butterflies had longer proboscises which they needed to have in order to survive and live. Also since it was a new area where these flowers were, it is no surprise that the butterflies had to adapt to a new flower.Animals and humans adapt to their surroundings to make life easier to live. Another reason for why the butterflies had a longer proboscis could be because over time the butterflies evolved to have different organs in their bodies to be able to fight off different kind of prey and over time more and more butterflies adapted this trait. Also, over time the butterflies with this trait could use it to collect nectar from these different types of flowers that other butterflies couldn’t which made them the stronger butterflies and the other type slowly died off, only leaving butterflies with bigger proboscises alive.

Sunday, September 15, 2019

Ajanta and Ellora are the pride of Maharashtra

INTRO Ajanta and Ellora are the pride of Maharashtra. The rock-cut caves of both these sites are world famous and illustrate the degree of skill and artistry that Indian craftsmen had achieved several hundred years ago. Ajanta dates from 100 B. C. while Ellora is younger by some 600 years. The village of Ajanta is in the Sahyadri hills, about 99 kms. From Aurangabad; a few miles away in a mammoth horseshoe-formed rock, are 30 caves overlooking a gorge, `each forming a room in the hill and some with inner rooms.Al these have been carved out of solid rock with little more than a hammer and chisel and the faith and inspiration of Buddhism. Here, for the Buddhist monks, the artisans excavated Chaityas (chapels) for prayer and Viharas (monasteries) where they lived and taught. Many of the caves have the most exquisite detailed carvings on the walls, pillars and entrances as well as magnificent wall paintings. CONCLUSION In their range of time and treatments they provide a panorama of life in ancient India and are a source of all kinds of information†¦ air styles, ornaments, textiles, musical instruments, details of architecture, customs etc. It was from this collection of classical Indian art that a particular style was formed that traveled with Buddhism to many parts of the world. Similar paintings can be seen in Sigiriya in Sri Lanka, Bamiyan in Afghanistan, temples and shrines in Tibet, Nepal, China and Japan. Royal patronage made Ajanta possible. Professional artists carried out much of the work and each contributed his own individual skill and devotion to this monumental work.Visitors often ask how the artist who painted the detailed frescoes and chiseled out the intricate carvings, managed to work in the dark interiors of the caves. It has been noticed that the caves are illuminated by natural light for part of the day and it is presumed that metal mirrors or sheets of white cloth were used to reflect sunlight into the inner recesses. PG1 The Ajanta Caves (Aji ha leni; Marathi: ) in Aurangabad district of Maharashtra. The caves are located in the Indian state of Maharashtra, near Jalgaon, just outside the village of Ajin? ha (20 °31? 56? N 75 °44? 44? E).Caves are only about 59 kilometers from Jalgaon Railway station (on Delhi – Mumbai, Rail line of the Central railways, India); and 104 kilometers from Aurangabad (from Ellora Caves 100 Kilometers). They are cut into the volcanic lava of the Deccan in the forest ravines of the Sahyadri Hills and are set in beautiful sylvan surroundings. These magnificent caves containing carvings that depict the life of Buddha, and their carvings and sculptures are considered to be the beginning of classical Indian art. PG2 , India are 30 rock-cut cave monuments which date from the 2nd century BCE to the 600 CE.The caves include paintings and sculptures considered to be masterpieces of Buddhist religious art (which depict the Jataka tales) as well as frescos which are reminiscent of the Sigiriya paintings in Sri Lanka. The caves were built in two phases starting around 2nd century BCE, with the second group of caves built around 600 CE. It is a protected monument under the Archaeological Survey of India. The caves vary from 35ft to 110ft in height. The caves of Ajanta consist of Viharas or Monasteries and Chaitya Grihas or monument halls cut into the mountains in two phases. The monasteries are of various sizes the tallest being of 52ft.The monasteries were used by the Buddhist monks for meditating and studying Buddhist teachings. They are mostly square shaped and projects didactic, devotional, and ornamental paintings from Jataka Tales and life of Gautam Buddha, contemporary people, kings, slaves, flowers, plants, fruits, birds and beasts. There are also the figures of yakshas, kinneras (half human and half bird) gandharvas (divine musicians), apsaras (heavenly dancers) seen in several wall paintings and sculptures and also art and architecture of the 3rd AD Gupta Dynasty. The 1st, 2nd, 16th and 17th caves can be rated as the greatest artistic works.Pg 4&5,6 First period This is a Buddhist community, comprising five sanctuaries or Chaitya-grihas (caves 9, 10, 19, 26 and 29) and monastic complex sangharamas or viharas. A first group of caves was created in the 2nd century BC: the chaitya-grihas open into the rock wall by doorways surmounted by a horse-shoe shaped bay. The ground plan is a basilical one: piers separate the principal nave from the side aisles which join in the apsis to permit the ritual circumambulation behind the (commemorative monument). This rupestral architecture scrupulously reproduces the forms and elements visible in wooden constructions.According to Spink (2006), the first phase was the construction of sanctuaries (known as chaytia-grihas) built during the period 100 BCE to 100 CE, probably under the patronage of the Satavahana dynasty (230 BCE – c. 220 CE) in the canyons of the Waghora River. The caves 9, 10, 12 and 15A were constructed during this period. [5] Murals preserved from this time belong to the oldest monuments of painted art in India. [edit]Second period A second group of caves was created at a later date, the 5th and 6th centuries AD, during the Gupta and post-Gupta periods.These caves were excavated during the supremacy of the Vakatakas and Guptas. According to inscriptions, Varahadeva, the minister of the Vakataka king, Harishena (c. AD 475-500), dedicated Cave 16 to the Buddhist sangha while Cave 17 was the gift of the prince, a feudatory. An inscription records that the Buddha image in Cave 4 was the gift of some Abhayanandi who hailed from Mathura. Scholars disagree about the date of the Ajanta Caves' second period. For a time it was thought that the work was done over a long period from the fourth to the 7th century AD, but recently long-time researcher Walter M.Spink declared that most of the work took place over short time period, from 460 to 480 CE, during the reign o f Emperor Harishena of the Vakataka dynasty. Some 20 cave temples were simultaneously created, for the most part viharas: monasteries with a sanctuary in the structure's rear centre. According to Spink, the Ajanta Caves appear to have been abandoned shortly after the fall of Harishena c. 480 CE. Since then, these temples have been abandoned and gradually forgotten. During the intervening centuries, the jungle grew back and the caves were hidden, unvisited and undisturbed. edit]Rediscovery by Europeans On 28 April 1819, a British officer for the Madras Presidency, John Smith, of the 28th Cavalry, while hunting tiger, accidentally discovered the entrance to one of the cave temples (Cave No. 10) deep within the tangled undergrowth. Exploring that first cave, long since a home to nothing more than birds and bats and a lair for other, larger, animals, Captain Smith scratched his name in on one of his name and the date, April 1819. Since he stood on a five foot high pile of rubble collect ed over the years, the inscription is well above the eye-level gaze of an adult.Shortly after this discovery, the Ajanta Caves became renowned for their exotic setting, impressive architecture, historic artwork, and long-forgotten history. Cave 1-pg 7 and 8 The first cave was built on the eastern end of the horse-shoe shaped scarp. According to Spink, it is one of the latest caves to have begun on site and brought to near-completion in the Vakataka phase. Although there is no epigraphic evidence, it has been proposed that the Vakataka Emperor Harishena may have been the benefactor of this better-preserved cave.A dominant reason for this is that Harisena was not involved initially in patronizing Ajanta. This cave has one of the most elaborate carvings on its facade with relief sculptures on entablature and ridges. There are scenes carved from the life of the Buddha as well as a number of decorative motifs. A two pillared portico, visible in the 19th-century photographs, has since per ished. The cave has a front-court with cells fronted by pillared vestibules on either side. These have a high plinth level. The cave has a porch with simple cells on both ends.The absence of pillared vestibules on the ends suggest that the porch was not excavated in the latest phase of Ajanta when pillared vestibules had become a necessity and norm. Most areas of the porch were once covered with murals, of which many fragments remain. There are three doorways: a central doorway and two side doorways. Two square windows were carved between the doorways to brighten the interiors. Each wall of the hall inside is nearly 40 feet (12 m) long and 20 feet (6. 1 m) high. Twelve pillars make a square colonnade inside supporting the ceiling, and creating spacious aisles along the walls.There is a shrine carved on the rear wall to house an impressive seated image of the Buddha, his hands being in the ‘dharmachakrapravartana mudra. There are four cells on each of the left, rear, and the ri ght walls. The walls are covered with paintings in a fair state of preservation. The scenes depicted are mostly didactic, devotional, and ornamental. Cave 2-pg 9,10 Cave 2, adjacent to Cave 1, is known for the paintings that have been preserved on its walls, ceilings, and pillars. It looks similar to Cave 1 and is in a better state of preservation. [edit]The facadeCave 2 has a porch quite different from Cave one. Even the facade carvings seem to be different. The cave is supported by robust pillars, ornamented with designs. The size and ground plan have many things in common with the [edit]The porch The front porch consists of cells supported by pillared vestibules on both ends. The cells on the previously â€Å"wasted areas† were needed to meet the greater housing requirements in later years. Porch-end cells became a trend in all later Vakataka excavations. The simple single cells on porch-ends were converted into CPVs or were planned to provide more room, symmetry, and beau ty.The paintings on the ceilings and walls of this porch have been widely published. They depict the Jataka tales that are stories of the Buddha's life in former existences as Bodhisattva. The porch's rear wall has a doorway in the center, which allows entrance to the hall. On either side of the door is a square-shaped window to brighten the interior. [edit]The hall The hall has four colonnades which are supporting the ceiling and surrounding a square in the center of the hall. Each arm or colonnade of the square is parallel to the respective walls of the hall, making an aisle in between. [edit]The paintingsPaintings appear on almost every surface of the cave except for the floor. At various places the art work has become eroded due to decay and human interference. Therefore, many areas of the painted walls, ceilings, and pillars are fragmentary. Cave 3and cave 4-pg 11 CAVE 3 This is an incomplete monastery (10. 08 X 8. 78 m) and only the preliminary excavation of pillared verandah exist. CAVE 4 This squarish monastery consists of a hall, sanctum sanctorum, pillared verandah and is datable to first half of sixth century A. D. This is the largest monastery at Ajanta measuring (35. 08 X 27. 65 m).The door frame is exquisitely sculpted flanking to the right is carved Bodhisattva as reliever of Eight Great Perils. The cave was once painted, traces of which can be noticed. The ceiling of the hall preserves a unique geological feature of a lava flow. Cave 5,6,7-PG12,13 CAVE 5 This monastery (10. 32 X 16. 8 m) is an unfinished one. However, the richly carved door frame, and female figures on makaras are important ones. CAVE 6 This is a double storeyed monastery (16. 85 X 18. 07 m) consisting of hall, sanctum sanctorum and a pillared hall in the lower storey and a hall with cells, subsidiary cells and sanctum sanctorum in the upper storey.Buddha in preaching attitude is housed in both the shrines. The depiction of Miracle of Sravasti and Temptation of Mara are the imp ortant paintings. Sculptural depiction of Buddha in various attitudes and postures can also be noticed here. CAVE 7 This monastery (15. 55 X 31. 25 m) consists of a sanctum sanctorum, an oblong open hall with two small porticos supported by heavy octagonal pillars and eight cells. Buddha in preaching attitude is housed inside the sanctum. Other sculptural panels include Miracle of Sravasti, seated Buddha under the protection of Nagamuchalinda, etc.CAVE8,9 PG 13,14,14. 5 CAVE 8 This is an unfinished monastery (15. 24 X 24. 64 m) at Ajanta, located at the lowest level and perhaps earliest among the monasteries. Major portion of the frontage has been swept away by a landslide. CAVE 9 This apsidal chaityagriha (18. 24 X 8. 04 m) is datable to second century B. C. and belongs to the Hinayana phase of Buddhism. The chaityagriha consists of an entrance door, two side windows, central hall, nave flanked by side aisles (pradikshana) on either side separated by a row of 23 pillars and a stupa , the object of worship.The chaityagriha exhibits reproduction of wooden architectural styles, in the form of inward tapering octagonal pillars, evidence of fixing wooden beams ; rafters, etc. The chaitya was in use during later period also as indicated by the sculptures of Buddha on the facade and side walls facing the court. Inside the chaitya is seen two layers of paintings, the earlier dating back to the second half of 1st century B. C. and the alter to 5th – 6th centuries A. D. Cave 9 – One of the earliest prayer hall caves, notable for its arched windows that let softly diffused sunlight in the cave.This Theravada cave also features a large stupa. CAVE 10 In April 1819, John Smith, a British Army Officer noticed the huge arch of this cave from the view point which ultimately led to the discovery of Ajanta Caves. This cave is the earliest chaityagriha at Ajanta. A Brahmi inscription on the facade dated to the 2nd century B. C. reads ‘Vasithiputa Katahadiâ₠¬â„¢. The cave (30. 5 X 12. 2 m) consists of a large central hall, nave flanked by two aisles (pradikshana) separated by a row of 39 octagonal pillars and a rock stupa at the apsidal end, the object of worship.The cave consists of two period of paintings, the earlier dated to 2nd century B. C and the later 4th – 6th century A. D. Two Jataka stories of this period have been identified, namely, the Sama (Shama) Jataka and the Chhaddanta Jataka. The later period paintings contain Buddha figures in various poses mainly over the pillars. Cave 10 – Theravada prayer hall, thought to be the oldest cave temple at Ajanta, dating to the 2nd century BC. CAVE 11,12,13,14-PG 15, CAVE 11 This monastery (19. 87 X 17. 35 m) datable to beginning of fifth century A. D. onsists of a hall with six cells and a long bench, a pillared verandah with four cells, a sanctum sanctorum. Buddha in preaching attitude is housed in the sanctum against an unfinished stupa. Few paintings that available h ere depicts Bodhisattvas, figures of Buddha, etc. CAVE 12 This Hinayana monastery consists of a hall (14. 9 X 17. 82 m) the front wall is completely collapsed sided by twelve cells arranged on three sides. An inscription on the back wall of the monastery records the gift of this cave by one merchant Ghanamadada and palaeographically datable to 2nd – 1st century B. C. erhaps slightly later than Cave 10. The cell frontage are decorated with chaitya window motifs above the door opening. CAVE 13 This is a small monastery and belongs to the first phase. It consists of an astylar hall with seven cells on three sides. The cells are provided with rock-cut beds. CAVE 14 This unfinished monastery (13. 43 X 19. 28 m) was excavated above Cave 13 at a higher level. It was originally planned on a large scale. The depiction of sala bhanjikas on the top corners of doorway is beautifully depicted. Cave 15,15a,16,17-pg 16,17,18 CAVE 15 The monastery (19. 62 X 15. 8 m) consists of an astylar ha ll with eight cells, an antechamber, sanctum sanctorum and a pillared verandah. The sculptural depictions include Buddha in various postures, seated Buddha on simhasana inside the sanctum sanctorum. The traces of paintings indicate that it was originally painted. CAVE 15A Smallest of all the excavations at Ajanta this cave consists of a small central astylar hall with one cell on three sides. The front wall had an inscription in shell characters (which is now lost). The hall is relieved with chaitya window pattern rising from vedica pattern. CAVE 16According to an inscription found here, the excavation of this cave was caused by Varahadeva, the minister of Vakataka king Harishena (circa A. D. 475-500). The cave (19. 5 X 22. 25 X 4. 6 m) which is a monastery consists of a central hall surrounded by 14 cells on three sides, vestibule and a sanctum for Buddha image. The important painted themes depicted are the conversion of Nanda; Miracle of Sravasti; Maya’s dream; and certain incidents from the life of Buddha. The Jataka stories depicted are Hasti, Maha-ummagga, Maha-sutasoma. Painted inscriptions can also be noted inside the caves. CAVE 17A Brahmi inscription found here records the excavation of this cave by a feudatory prince under Vakataka king Harishena. This monastery (34. 5 X 25. 63 m) consists of a spacious hall surrounded by 17 cells on three sides, a vestibule and a sanctum containing the image of Buddha. The cave houses some of the well preserved paintings of the Vakataka age that includes Vessantara Jataka (right of door), a huge and gigantic wheel representing the ‘Wheel of Life’; flying apsara (to left of door), subjugation of Nalagiri (a wild elephant) by Buddha at Rajagriha, Buddha preaching to a congregation.The Jatakas depicted here are Chhaddanta, Mahakapi (in two versions), Hasti, Hamsa, Vessantara, Maha-Sutasoma, Sarabha-miga, Machchha, Mati-posaka, Sama, Mahisa, Valahass, Sibi, Ruru and Nigrodhamiga. Cave 18,19,20,21-pg 19,20 CAVE 18 This consists of a rectangular excavation (3. 38 X 11. 66 m) leading into another cell. The hall has two pillars with moulded bases and octagonal shafts. CAVE 19 This chaityagriha (16. 05 X 7. 09 m) is datable to fifth century A. D. and could be the gandhakuti. The stupa is carved with a standing image of Buddha 7.This cave is known for it sculptural grandeur of the facade and particularly the two life size Yaksha images on either sides of the chaitya vatayana (arch). The hall has painted depictions of Buddha in various postures. CAVE 20 A pillar less monastery consists of hall (16. 2 X 17. 91 m) cells, sanctum sanctorum and a pillared verandah datable between A. D. 450 and 525. A Brahmi inscription in the verandah records the gift of the mandapa by one Upendra. Buddha in preaching attitude is housed in the sanctum. The sculpture of seven Buddhas accompanied by attendants is another important sculptural panel in this cave.CAVE 21 This monastery (28. 56 X 28. 03 m) cons ists of a hall with twelve pillars and twelve cells on three sides, sanctum sanctorum, pillared verandah (pillar’s restored now). Out of 12 cells four are with pillared porches. The sanctum house seated Buddha in preaching attitude. Trace of paintings are noticed which consist of a panel depicting Buddha preaching a congregation. Cave 22,23,24,25-pg 21 CAVE 22 This monastery (12. 72 X 11. 58 m) consists of an astylar hall four unfinished cells, sanctum sanctorum and a narrow verandah. Buddha seated in pralamba-padasana is carved on the back wall of the shrine.The sculptural depiction of Buddha in different forms, painted figures of Manushi-Buddhas with Maitreya can be noticed here. CAVE 23 This is an unfinished monastery (28. 32 X 22. 52 m) and consists of an astylar hall, sanctum sanctorum, antechamber ; side cells and a pillared verandah. The cave is known for the rich decoration of pillars and pilasters and the naga doorkeepers. CAVE 24 This is an incomplete monastery (29. 3 X 29. 3 m) and second largest excavation at Ajanta after Cave 4. The plan consists of a hall with pillared verandah and sanctum sanctorum.A chapel with pillared porch is excavated outside the verandah. The sanctum houses a seated Buddha in pralamba-padasana. CAVE 25 This monastery (11. 37 X 12. 24 m) consists of an astylar hall, pillared verandah and an enclosed courtyard and excavated at a higher level. Two cells are noted on the left end of the verandah and the hall has no cells. The hall is devoid of shrine. CAVE 26,27,28,29-PG 22/PG22,23 CAVE 26 This chaityagriha is quite similar to Cave 19, but of a larger dimension (25. 34 X 11. 52 m) and more elaborately and exquisitely provided with sculpted figures.An inscription (A. D. 450 – 525) found on the wall of the front verandah records the gift of this chaityagriha by a monk Buddhabhadra, a friend of Bhavviraja, a minister of the king of Asmaka (Vidarbha). The chaityagriha consists of a hall, side aisles (pradikshana) and a rock-cut stupa front by an image of Buddha. The facade, the inner pillars, the triforium (between pillars and roof arch), aisles side walls are extensively carved with images and decorative designs. However, the most striking and prominent image is that of Mahaparinirvana of Buddha on the right aisle wall nd the assault of Mara during Buddha’s penance adorns the same wall. CAVE 27 This cave could have been part of Cave 26 and it consists of two storeys, the upper one partially collapsed. The monastery consists of a hall with four cells, antechamber and sanctum sanctorum. Buddha in teaching attitude is housed inside the sanctum. CAVE 28 This is an unfinished monastery of which only the pillared verandah was excavated. CAVE 29 This is an unfinished chaityagriha (22. 8 X 12. 84 m) in its first stage of excavation and located at the highest level, located between Caves 20 and 21. Ending-pg 24 Ajanta and Ellora are the pride of Maharashtra INTRO Ajanta and Ellora are the pride of Maharashtra. The rock-cut caves of both these sites are world famous and illustrate the degree of skill and artistry that Indian craftsmen had achieved several hundred years ago. Ajanta dates from 100 B. C. while Ellora is younger by some 600 years. The village of Ajanta is in the Sahyadri hills, about 99 kms. From Aurangabad; a few miles away in a mammoth horseshoe-formed rock, are 30 caves overlooking a gorge, `each forming a room in the hill and some with inner rooms.Al these have been carved out of solid rock with little more than a hammer and chisel and the faith and inspiration of Buddhism. Here, for the Buddhist monks, the artisans excavated Chaityas (chapels) for prayer and Viharas (monasteries) where they lived and taught. Many of the caves have the most exquisite detailed carvings on the walls, pillars and entrances as well as magnificent wall paintings. CONCLUSION In their range of time and treatments they provide a panorama of life in ancient India and are a source of all kinds of information†¦ air styles, ornaments, textiles, musical instruments, details of architecture, customs etc. It was from this collection of classical Indian art that a particular style was formed that traveled with Buddhism to many parts of the world. Similar paintings can be seen in Sigiriya in Sri Lanka, Bamiyan in Afghanistan, temples and shrines in Tibet, Nepal, China and Japan. Royal patronage made Ajanta possible. Professional artists carried out much of the work and each contributed his own individual skill and devotion to this monumental work.Visitors often ask how the artist who painted the detailed frescoes and chiseled out the intricate carvings, managed to work in the dark interiors of the caves. It has been noticed that the caves are illuminated by natural light for part of the day and it is presumed that metal mirrors or sheets of white cloth were used to reflect sunlight into the inner recesses. PG1 The Ajanta Caves (Aji ha leni; Marathi: ) in Aurangabad district of Maharashtra. The caves are located in the Indian state of Maharashtra, near Jalgaon, just outside the village of Ajin? ha (20 °31? 56? N 75 °44? 44? E).Caves are only about 59 kilometers from Jalgaon Railway station (on Delhi – Mumbai, Rail line of the Central railways, India); and 104 kilometers from Aurangabad (from Ellora Caves 100 Kilometers). They are cut into the volcanic lava of the Deccan in the forest ravines of the Sahyadri Hills and are set in beautiful sylvan surroundings. These magnificent caves containing carvings that depict the life of Buddha, and their carvings and sculptures are considered to be the beginning of classical Indian art. PG2 , India are 30 rock-cut cave monuments which date from the 2nd century BCE to the 600 CE.The caves include paintings and sculptures considered to be masterpieces of Buddhist religious art (which depict the Jataka tales) as well as frescos which are reminiscent of the Sigiriya paintings in Sri Lanka. The caves were built in two phases starting around 2nd century BCE, with the second group of caves built around 600 CE. It is a protected monument under the Archaeological Survey of India. The caves vary from 35ft to 110ft in height. The caves of Ajanta consist of Viharas or Monasteries and Chaitya Grihas or monument halls cut into the mountains in two phases. The monasteries are of various sizes the tallest being of 52ft.The monasteries were used by the Buddhist monks for meditating and studying Buddhist teachings. They are mostly square shaped and projects didactic, devotional, and ornamental paintings from Jataka Tales and life of Gautam Buddha, contemporary people, kings, slaves, flowers, plants, fruits, birds and beasts. There are also the figures of yakshas, kinneras (half human and half bird) gandharvas (divine musicians), apsaras (heavenly dancers) seen in several wall paintings and sculptures and also art and architecture of the 3rd AD Gupta Dynasty. The 1st, 2nd, 16th and 17th caves can be rated as the greatest artistic works.Pg 4&5,6 First period This is a Buddhist community, comprising five sanctuaries or Chaitya-grihas (caves 9, 10, 19, 26 and 29) and monastic complex sangharamas or viharas. A first group of caves was created in the 2nd century BC: the chaitya-grihas open into the rock wall by doorways surmounted by a horse-shoe shaped bay. The ground plan is a basilical one: piers separate the principal nave from the side aisles which join in the apsis to permit the ritual circumambulation behind the (commemorative monument). This rupestral architecture scrupulously reproduces the forms and elements visible in wooden constructions.According to Spink (2006), the first phase was the construction of sanctuaries (known as chaytia-grihas) built during the period 100 BCE to 100 CE, probably under the patronage of the Satavahana dynasty (230 BCE – c. 220 CE) in the canyons of the Waghora River. The caves 9, 10, 12 and 15A were constructed during this period. [5] Murals preserved from this time belong to the oldest monuments of painted art in India. [edit]Second period A second group of caves was created at a later date, the 5th and 6th centuries AD, during the Gupta and post-Gupta periods.These caves were excavated during the supremacy of the Vakatakas and Guptas. According to inscriptions, Varahadeva, the minister of the Vakataka king, Harishena (c. AD 475-500), dedicated Cave 16 to the Buddhist sangha while Cave 17 was the gift of the prince, a feudatory. An inscription records that the Buddha image in Cave 4 was the gift of some Abhayanandi who hailed from Mathura. Scholars disagree about the date of the Ajanta Caves' second period. For a time it was thought that the work was done over a long period from the fourth to the 7th century AD, but recently long-time researcher Walter M.Spink declared that most of the work took place over short time period, from 460 to 480 CE, during the reign o f Emperor Harishena of the Vakataka dynasty. Some 20 cave temples were simultaneously created, for the most part viharas: monasteries with a sanctuary in the structure's rear centre. According to Spink, the Ajanta Caves appear to have been abandoned shortly after the fall of Harishena c. 480 CE. Since then, these temples have been abandoned and gradually forgotten. During the intervening centuries, the jungle grew back and the caves were hidden, unvisited and undisturbed. edit]Rediscovery by Europeans On 28 April 1819, a British officer for the Madras Presidency, John Smith, of the 28th Cavalry, while hunting tiger, accidentally discovered the entrance to one of the cave temples (Cave No. 10) deep within the tangled undergrowth. Exploring that first cave, long since a home to nothing more than birds and bats and a lair for other, larger, animals, Captain Smith scratched his name in on one of his name and the date, April 1819. Since he stood on a five foot high pile of rubble collect ed over the years, the inscription is well above the eye-level gaze of an adult.Shortly after this discovery, the Ajanta Caves became renowned for their exotic setting, impressive architecture, historic artwork, and long-forgotten history. Cave 1-pg 7 and 8 The first cave was built on the eastern end of the horse-shoe shaped scarp. According to Spink, it is one of the latest caves to have begun on site and brought to near-completion in the Vakataka phase. Although there is no epigraphic evidence, it has been proposed that the Vakataka Emperor Harishena may have been the benefactor of this better-preserved cave.A dominant reason for this is that Harisena was not involved initially in patronizing Ajanta. This cave has one of the most elaborate carvings on its facade with relief sculptures on entablature and ridges. There are scenes carved from the life of the Buddha as well as a number of decorative motifs. A two pillared portico, visible in the 19th-century photographs, has since per ished. The cave has a front-court with cells fronted by pillared vestibules on either side. These have a high plinth level. The cave has a porch with simple cells on both ends.The absence of pillared vestibules on the ends suggest that the porch was not excavated in the latest phase of Ajanta when pillared vestibules had become a necessity and norm. Most areas of the porch were once covered with murals, of which many fragments remain. There are three doorways: a central doorway and two side doorways. Two square windows were carved between the doorways to brighten the interiors. Each wall of the hall inside is nearly 40 feet (12 m) long and 20 feet (6. 1 m) high. Twelve pillars make a square colonnade inside supporting the ceiling, and creating spacious aisles along the walls.There is a shrine carved on the rear wall to house an impressive seated image of the Buddha, his hands being in the ‘dharmachakrapravartana mudra. There are four cells on each of the left, rear, and the ri ght walls. The walls are covered with paintings in a fair state of preservation. The scenes depicted are mostly didactic, devotional, and ornamental. Cave 2-pg 9,10 Cave 2, adjacent to Cave 1, is known for the paintings that have been preserved on its walls, ceilings, and pillars. It looks similar to Cave 1 and is in a better state of preservation. [edit]The facadeCave 2 has a porch quite different from Cave one. Even the facade carvings seem to be different. The cave is supported by robust pillars, ornamented with designs. The size and ground plan have many things in common with the [edit]The porch The front porch consists of cells supported by pillared vestibules on both ends. The cells on the previously â€Å"wasted areas† were needed to meet the greater housing requirements in later years. Porch-end cells became a trend in all later Vakataka excavations. The simple single cells on porch-ends were converted into CPVs or were planned to provide more room, symmetry, and beau ty.The paintings on the ceilings and walls of this porch have been widely published. They depict the Jataka tales that are stories of the Buddha's life in former existences as Bodhisattva. The porch's rear wall has a doorway in the center, which allows entrance to the hall. On either side of the door is a square-shaped window to brighten the interior. [edit]The hall The hall has four colonnades which are supporting the ceiling and surrounding a square in the center of the hall. Each arm or colonnade of the square is parallel to the respective walls of the hall, making an aisle in between. [edit]The paintingsPaintings appear on almost every surface of the cave except for the floor. At various places the art work has become eroded due to decay and human interference. Therefore, many areas of the painted walls, ceilings, and pillars are fragmentary. Cave 3and cave 4-pg 11 CAVE 3 This is an incomplete monastery (10. 08 X 8. 78 m) and only the preliminary excavation of pillared verandah exist. CAVE 4 This squarish monastery consists of a hall, sanctum sanctorum, pillared verandah and is datable to first half of sixth century A. D. This is the largest monastery at Ajanta measuring (35. 08 X 27. 65 m).The door frame is exquisitely sculpted flanking to the right is carved Bodhisattva as reliever of Eight Great Perils. The cave was once painted, traces of which can be noticed. The ceiling of the hall preserves a unique geological feature of a lava flow. Cave 5,6,7-PG12,13 CAVE 5 This monastery (10. 32 X 16. 8 m) is an unfinished one. However, the richly carved door frame, and female figures on makaras are important ones. CAVE 6 This is a double storeyed monastery (16. 85 X 18. 07 m) consisting of hall, sanctum sanctorum and a pillared hall in the lower storey and a hall with cells, subsidiary cells and sanctum sanctorum in the upper storey.Buddha in preaching attitude is housed in both the shrines. The depiction of Miracle of Sravasti and Temptation of Mara are the imp ortant paintings. Sculptural depiction of Buddha in various attitudes and postures can also be noticed here. CAVE 7 This monastery (15. 55 X 31. 25 m) consists of a sanctum sanctorum, an oblong open hall with two small porticos supported by heavy octagonal pillars and eight cells. Buddha in preaching attitude is housed inside the sanctum. Other sculptural panels include Miracle of Sravasti, seated Buddha under the protection of Nagamuchalinda, etc.CAVE8,9 PG 13,14,14. 5 CAVE 8 This is an unfinished monastery (15. 24 X 24. 64 m) at Ajanta, located at the lowest level and perhaps earliest among the monasteries. Major portion of the frontage has been swept away by a landslide. CAVE 9 This apsidal chaityagriha (18. 24 X 8. 04 m) is datable to second century B. C. and belongs to the Hinayana phase of Buddhism. The chaityagriha consists of an entrance door, two side windows, central hall, nave flanked by side aisles (pradikshana) on either side separated by a row of 23 pillars and a stupa , the object of worship.The chaityagriha exhibits reproduction of wooden architectural styles, in the form of inward tapering octagonal pillars, evidence of fixing wooden beams ; rafters, etc. The chaitya was in use during later period also as indicated by the sculptures of Buddha on the facade and side walls facing the court. Inside the chaitya is seen two layers of paintings, the earlier dating back to the second half of 1st century B. C. and the alter to 5th – 6th centuries A. D. Cave 9 – One of the earliest prayer hall caves, notable for its arched windows that let softly diffused sunlight in the cave.This Theravada cave also features a large stupa. CAVE 10 In April 1819, John Smith, a British Army Officer noticed the huge arch of this cave from the view point which ultimately led to the discovery of Ajanta Caves. This cave is the earliest chaityagriha at Ajanta. A Brahmi inscription on the facade dated to the 2nd century B. C. reads ‘Vasithiputa Katahadiâ₠¬â„¢. The cave (30. 5 X 12. 2 m) consists of a large central hall, nave flanked by two aisles (pradikshana) separated by a row of 39 octagonal pillars and a rock stupa at the apsidal end, the object of worship.The cave consists of two period of paintings, the earlier dated to 2nd century B. C and the later 4th – 6th century A. D. Two Jataka stories of this period have been identified, namely, the Sama (Shama) Jataka and the Chhaddanta Jataka. The later period paintings contain Buddha figures in various poses mainly over the pillars. Cave 10 – Theravada prayer hall, thought to be the oldest cave temple at Ajanta, dating to the 2nd century BC. CAVE 11,12,13,14-PG 15, CAVE 11 This monastery (19. 87 X 17. 35 m) datable to beginning of fifth century A. D. onsists of a hall with six cells and a long bench, a pillared verandah with four cells, a sanctum sanctorum. Buddha in preaching attitude is housed in the sanctum against an unfinished stupa. Few paintings that available h ere depicts Bodhisattvas, figures of Buddha, etc. CAVE 12 This Hinayana monastery consists of a hall (14. 9 X 17. 82 m) the front wall is completely collapsed sided by twelve cells arranged on three sides. An inscription on the back wall of the monastery records the gift of this cave by one merchant Ghanamadada and palaeographically datable to 2nd – 1st century B. C. erhaps slightly later than Cave 10. The cell frontage are decorated with chaitya window motifs above the door opening. CAVE 13 This is a small monastery and belongs to the first phase. It consists of an astylar hall with seven cells on three sides. The cells are provided with rock-cut beds. CAVE 14 This unfinished monastery (13. 43 X 19. 28 m) was excavated above Cave 13 at a higher level. It was originally planned on a large scale. The depiction of sala bhanjikas on the top corners of doorway is beautifully depicted. Cave 15,15a,16,17-pg 16,17,18 CAVE 15 The monastery (19. 62 X 15. 8 m) consists of an astylar ha ll with eight cells, an antechamber, sanctum sanctorum and a pillared verandah. The sculptural depictions include Buddha in various postures, seated Buddha on simhasana inside the sanctum sanctorum. The traces of paintings indicate that it was originally painted. CAVE 15A Smallest of all the excavations at Ajanta this cave consists of a small central astylar hall with one cell on three sides. The front wall had an inscription in shell characters (which is now lost). The hall is relieved with chaitya window pattern rising from vedica pattern. CAVE 16According to an inscription found here, the excavation of this cave was caused by Varahadeva, the minister of Vakataka king Harishena (circa A. D. 475-500). The cave (19. 5 X 22. 25 X 4. 6 m) which is a monastery consists of a central hall surrounded by 14 cells on three sides, vestibule and a sanctum for Buddha image. The important painted themes depicted are the conversion of Nanda; Miracle of Sravasti; Maya’s dream; and certain incidents from the life of Buddha. The Jataka stories depicted are Hasti, Maha-ummagga, Maha-sutasoma. Painted inscriptions can also be noted inside the caves. CAVE 17A Brahmi inscription found here records the excavation of this cave by a feudatory prince under Vakataka king Harishena. This monastery (34. 5 X 25. 63 m) consists of a spacious hall surrounded by 17 cells on three sides, a vestibule and a sanctum containing the image of Buddha. The cave houses some of the well preserved paintings of the Vakataka age that includes Vessantara Jataka (right of door), a huge and gigantic wheel representing the ‘Wheel of Life’; flying apsara (to left of door), subjugation of Nalagiri (a wild elephant) by Buddha at Rajagriha, Buddha preaching to a congregation.The Jatakas depicted here are Chhaddanta, Mahakapi (in two versions), Hasti, Hamsa, Vessantara, Maha-Sutasoma, Sarabha-miga, Machchha, Mati-posaka, Sama, Mahisa, Valahass, Sibi, Ruru and Nigrodhamiga. Cave 18,19,20,21-pg 19,20 CAVE 18 This consists of a rectangular excavation (3. 38 X 11. 66 m) leading into another cell. The hall has two pillars with moulded bases and octagonal shafts. CAVE 19 This chaityagriha (16. 05 X 7. 09 m) is datable to fifth century A. D. and could be the gandhakuti. The stupa is carved with a standing image of Buddha 7.This cave is known for it sculptural grandeur of the facade and particularly the two life size Yaksha images on either sides of the chaitya vatayana (arch). The hall has painted depictions of Buddha in various postures. CAVE 20 A pillar less monastery consists of hall (16. 2 X 17. 91 m) cells, sanctum sanctorum and a pillared verandah datable between A. D. 450 and 525. A Brahmi inscription in the verandah records the gift of the mandapa by one Upendra. Buddha in preaching attitude is housed in the sanctum. The sculpture of seven Buddhas accompanied by attendants is another important sculptural panel in this cave.CAVE 21 This monastery (28. 56 X 28. 03 m) cons ists of a hall with twelve pillars and twelve cells on three sides, sanctum sanctorum, pillared verandah (pillar’s restored now). Out of 12 cells four are with pillared porches. The sanctum house seated Buddha in preaching attitude. Trace of paintings are noticed which consist of a panel depicting Buddha preaching a congregation. Cave 22,23,24,25-pg 21 CAVE 22 This monastery (12. 72 X 11. 58 m) consists of an astylar hall four unfinished cells, sanctum sanctorum and a narrow verandah. Buddha seated in pralamba-padasana is carved on the back wall of the shrine.The sculptural depiction of Buddha in different forms, painted figures of Manushi-Buddhas with Maitreya can be noticed here. CAVE 23 This is an unfinished monastery (28. 32 X 22. 52 m) and consists of an astylar hall, sanctum sanctorum, antechamber ; side cells and a pillared verandah. The cave is known for the rich decoration of pillars and pilasters and the naga doorkeepers. CAVE 24 This is an incomplete monastery (29. 3 X 29. 3 m) and second largest excavation at Ajanta after Cave 4. The plan consists of a hall with pillared verandah and sanctum sanctorum.A chapel with pillared porch is excavated outside the verandah. The sanctum houses a seated Buddha in pralamba-padasana. CAVE 25 This monastery (11. 37 X 12. 24 m) consists of an astylar hall, pillared verandah and an enclosed courtyard and excavated at a higher level. Two cells are noted on the left end of the verandah and the hall has no cells. The hall is devoid of shrine. CAVE 26,27,28,29-PG 22/PG22,23 CAVE 26 This chaityagriha is quite similar to Cave 19, but of a larger dimension (25. 34 X 11. 52 m) and more elaborately and exquisitely provided with sculpted figures.An inscription (A. D. 450 – 525) found on the wall of the front verandah records the gift of this chaityagriha by a monk Buddhabhadra, a friend of Bhavviraja, a minister of the king of Asmaka (Vidarbha). The chaityagriha consists of a hall, side aisles (pradikshana) and a rock-cut stupa front by an image of Buddha. The facade, the inner pillars, the triforium (between pillars and roof arch), aisles side walls are extensively carved with images and decorative designs. However, the most striking and prominent image is that of Mahaparinirvana of Buddha on the right aisle wall nd the assault of Mara during Buddha’s penance adorns the same wall. CAVE 27 This cave could have been part of Cave 26 and it consists of two storeys, the upper one partially collapsed. The monastery consists of a hall with four cells, antechamber and sanctum sanctorum. Buddha in teaching attitude is housed inside the sanctum. CAVE 28 This is an unfinished monastery of which only the pillared verandah was excavated. CAVE 29 This is an unfinished chaityagriha (22. 8 X 12. 84 m) in its first stage of excavation and located at the highest level, located between Caves 20 and 21. Ending-pg 24