Friday, January 24, 2020

Religion in Europe During the Life of Karl Marx :: Essays Papers

Religion in Europe During the Life of Karl Marx Religion as an institution has evolved throughout human history. When it began during the primitive stages of human existence, religion was concerned with society rather than the individual. Its role was to better society as a whole. At a later time religion began to take a greater interest in the individual, changing its role as a social institution.[1] This change in the role of religion led to the institution as a whole supporting personal growth and success, including wealth. In the Manifesto of the Communist Party, the authors denounce the separation of classes and the upper class in general, saying, â€Å"Society can no longer live under this bourgeoisie†.[2] As a result, the authors also denounced religion because by supporting wealth and encouraging capitalism it served to promote the upper class. Marx and other Communists felt that the evolution of religion throughout history was spurred on by changing economic and social conditions.[3] These two factors are very similar, and a change in one usually leads to a change in the other. At the time that Marx and Engels were formulating their ideas concerning Communism, radical changes were sweeping across the better part of Europe. The Industrial Revolution was in full swing with new inventions and industries growing rapidly. The demand for products increased dramatically and the entire lifestyle of many Europeans, especially the English, changed. The Revolution led people away from the rural farm life to the mass production of the urban scene. Workers were needed in booming industries such as cotton, iron production, and coal mining. As a result, people flocked to the cities to meet the need. These industries were controlled by the bourgeoisie, the wealthy upper class. They wanted to take advantage of the new technology and the intense demand for new products, which translated into money. These owners sent the poor farmers straight to work, and exploited them from the start. The workers received low pay and worked long hours in extremely unfavorable, and even dangerous, conditions.[4] This continued and the bourgeoisie prospered at the expense of the oppressed proletariat. Once the Industrial Revolution started it became rather efficient.

Thursday, January 16, 2020

Ethical Counseling Essay

The code of ethics was created to assist and benefit members of the American Counseling Association. The code of ethics mission statement discusses what counselors should aspire to do in an ethical manner and also explains how they can be responsible counselors who protect themselves against complaints. The code of ethics is sometimes revised because individuals of the ACA develop useful material that will protect counselors. The code of ethics focuses on examining benefits of interactions with clients, students, and supervisees within and outside the clinical setting. (Herlihy&Corey, 2006) Similarities in Code of Ethics When comparing the ACA and the AMHCA code of ethics, one will notice they both provide guidance, training and direction toward making ethic decisions for their members. They both explain a variety of professional situations to a practicing counselor. The two codes also share relation due to their commitment of students, employee, and supervisory relationships. When employees become involved with clients this could cause issues and end horribly for all parties involved including companies. Differences in the Code of Ethics One huge difference in the ACA and the AMHAC code of ethics is how violations of the code of ethics are addressed by the organizations and codes. The ACA code of ethics mentions a process for processing ethical violations. The AMHAC does not adjudicate, investigate or mention ethical complaints but it does say actions may be taken regarding a member’s membership based upon their licensure. Record keeping is also different between these two codes. The AMHAC code of ethics has certain guidelines regarding communication, record keeping, use of assessment tools and retention. The ACA code of ethics does not specify such requirements. Future Code of Ethics and Counseling Code of Ethics for counselors was created in order to guide and protect counselors from making unethical decisions and avoiding legal issues. Once I become a counselor I will always refer to the code of ethics, lawyers, mentors, and colleagues for advice with troubling cases. The ethical standards casebook presents different case studies that will allow me to analyze and manage cases of my own. When counseling my clients I will refer to the code of ethics for assurance of unethical choices. The code of ethics will also provide me with guidance and information that will protect me from complaining and dissatisfied clients. Being a counselor involves making ethical decisions and I know decisions will be challenging to arrive at during times. I plan to look at all of my cases in an ethical and professional way. I will take multicultural and diversity values and beliefs into consideration when counseling clients from different cultures. I fully understand that being bias and influencing clients is not ethical performance. (Herlihy&Corey,2006) (page 14) Code of Ethics This course explains the code of ethics and introduces certain dilemmas counselors could very well face while practicing. Referring to the code of ethics may still leave a counselor puzzled as to how to handle a special case if it has not been addressed before. Members of the ACA make revisions to the code of ethics because times are changing and new events occur. I look forward to learning more about ethics, legal and professional issues in this course so I can be an excellent counselor.

Tuesday, January 7, 2020

Strategies that Could Be Applied by Samsung Free Essay Example, 2250 words

As an internationally functional company, Samsung always provides exceptional customer supports by its friendly employees and superior after as well as prior sales services mechanism. In terms of customer viewpoints, the company attempts to offer prompt responses for delivering accurate service systems. In order to deliver a superior quality of customer service, Samsung can follow The International Customer Service Standard (CSS). CSS is primarily developed by the International Customer Services Institute (CSI) through which an organization can attain the superior quality of customer services and also establish flexible as well as measurable approaches in terms of service delivery. CSS comprises certain customer service principles through which Samsung can improve the service quality at the time of delivery procedures. Moreover, TICSS was developed on the basis of Five P s Services Model which is also considered as the key elements of service quality. These five P s are Policies, P roducts or Services, Premises, Processes and People (The British Standards Institution, 2013). Through this model, an organization such as Samsung can continuously evaluate as well as to measure customer service performances. By implementing this model, Samsung can attain a high level of customer expectations by developing the superior quality of customer satisfaction. We will write a custom essay sample on Strategies that Could Be Applied by Samsung or any topic specifically for you Only $17.96 $11.86/pageorder now Moreover, through this model, Samsung can also establish a superior level of customer loyalty by delivering advanced quality of products and services. Additionally, through this model, Samsung can also ensure customer satisfaction, influence employees towards the commitment of delivering good quality of services, increase customer retention as well as loyalty, develop continuous evaluation process regarding customer services along with establishing effective customer awareness in terms of products and services (The British Standards Institution, 2013). Apart from this aforementioned strategy, Samsung can also implement and follow Customer Service Strategy (CSS) through which the company can deliver superior quality of services by attaining a high level of customer satisfaction.

Monday, December 30, 2019

Relationship Between Appraisals Of Strain And Of Gain And...

Introduction The study of Rapp and Chao (2000) aimed to understand the relationship between appraisals of strain and of gain and psychological wellbeing of family caregivers of dementia patients. The study addressed the gaps in the literature related to applying caregivers’ appraisals of strains and of gains to predict both negative and positive affect on caregivers’ wellbeing. Thus, Rapp and Chao (2000) proposed three hypotheses. First, the study hypothesized that the greater caregivers appraise their role strains, the higher negative affect (NA) they would experience on their psychological wellbeing and vise-versa. Second, the researchers predicted that the relationship between caregivers’ appraisals of strains and of gains and negative†¦show more content†¦The introduction of the study, however, does not explain some concepts well. From the title of the article, Rapp and Chao (2000) emphasize the scope of the study as caregivers’ psychological wellbeing. During the introduction of the article, there is no specific conceptualization of the term â€Å"psychological wellbeing†, except for a brief mention that there are positive affect and negative affect related to psychological wellbeing. Likewise, in the third hypothesis, the researchers express an interest in understanding objective stressors without providing a definition of objective stressors. The lack of main concept explanation may mislead readers’ understandings in the next sections. Design and methods In the method section, Rapp and Chao (2000) present participants and interview procedures, measurement, and statistical procedures. Notably, the researchers did not explicitly explain their study design. No information about the design and the duration of the research project was noted. Regarding participants and recruitment procedure, the article proposes that 65 primary caregivers were recruited from three community-dwellings. Among them, 27 caregivers were from a university-affiliated dementia clinic, 25 from a local Alzheimer’s association, and 13 from the community. The inclusion criteria show that family caregivers who provide daily living assistance or instruction to an older

Sunday, December 22, 2019

Ajhjshhhlsh Vas - 4487 Words

GUIDELINES FOR WRITING THE REPORT OF INTERNSHIP ACTIVITIES Revised October 2009 Master of Science in Counseling Psychology Frostburg State University Frostburg, Maryland 21532-1099 http://www.frostburg.edu/dept/psyc/graduate/intern.htm (click on Guidelines for Writing the Internship Activities Report) Guidelines For Writing the Report of Internship Activities 2 Table of Contents What You Should Know Before You Start Your Paper†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦ (including what is done with your paper, how to submit your final paper AND who needs to read your paper before it is finalized) Sample Title Page†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.. Sample Internship Paper Release Form†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. Sample Table of†¦show more content†¦Counseling Psychology Program to have access to my internship paper to enable them to benefit from my internship experience. I fully understand that once I have graduated from Frostburg State University, my internship p aper will become property of the program, and students will be permitted to sign out my internship paper with the understanding that it must be returned to the Program Coordinators office. Name Date --------------------------------------------------------------------I do not agree to allow my internship paper to be accessible to faculty or students in the M.S. Counseling Psychology Program. Name Date Guidelines For Writing the Report of Internship Activities 6 SAMPLE TABLE OF CONTENTS TABLE OF CONTENTS Internship Paper Release Form I. Summary of Internship Experiences A. General Description of Cases ........................................................................page # B. Evaluation of Internship Experience............................................................ page # Note: if you had more than one internship site, you will need to complete a separate summary of internship experiences

Saturday, December 14, 2019

Company law ans Free Essays

string(25) " The exceptions under s\." Bristol is a substantial shareholder in Chester-Perry Industries Ltd. A business competitor, Gun and Fames Pity Ltd, is selling in great volume a cookbook similar to one in respect of which Chester-Perry Industries holds the copyright. Bristol believes his company has incurred a substantial loss and his own shares have been reduced In value by $150,000. We will write a custom essay sample on Company law ans or any similar topic only for you Order Now HIS solicitors believe an Infringement of copyright has occurred. Cycles and Pollock are the directors of Chester-Perry Industries Ltd. They state that they have decided not to litigate because they believe hat to take legal action for infringement of copyright is too expensive and risky. Bristol is unsure whether the directors of Chester-Perry Industries have any interest in Gun and Fames Pity Ltd. On the general principles laid down Salmon’s case, can Bristol sue Gun Fames? Issue: Can Bristol sue Gun Fames on behalf of Chester-Perry as a shareholder in Chester-Perry? Relevant law: Salomon. Application: The House of Lords in Salomon held that upon incorporation, a company beneficially becomes a separate legal entity even though its issued shares are owned by the same person Like In Salomon. Similarly In this question, Chester-Perry Is a company that has been incorporated and therefore, is a separate legal entity from all its shareholders. In this case, according to Salomon, Bristol who is a shareholder of Chester- Perry cannot sue Gun Fames on behalf of Chester-Perry as a company is separate from its shareholders. Conclusion: Bristol cannot sue Gun Fames on behalf of Chester Perry due to the principle laid down in Salomon where upon incorporation Chester Perry is considered as a separate legal entity from all its shareholders, including Tutorial 2 Bristol. Q(a). The Constitution of Big Hopes Pity. Ltd. Includes the following provisions: Rule XSL: On any Increase In capital the new shares must be offered to members In proportion to their excellent shares. John (an existing shareholder) is distressed when an allotment of a new issue is Issue: of What action can John take against Big Hopes for failing to allot new issue shares to him according to Rule xi of the Constitution? Relevant law: CA 2001. Application: s. 140(1)(a) states that a constitution of a company is a contract between the company and its company and its shareholders. In this essence, both the shareholders are bind by the constitution. Must Big In this instance, Rule xi of Big Hopes’ constitution states that new shares be offered to existing shareholders as per their existing shares. However, Hopes failed to allot new shares to John as according to his existing shares and have therefore breached its contractual obligation in the constitution under Conclusion: John can take an action against Big Hope under s. 140(1)(a) for breaching its to contractual obligation in its constitution for failing to allot the new shares John as per his existing shares. Tutorial 3 Q. John, Ring, George and Paul incorporate Big Hopes Pity Ltd for their property development business. Big Hopes Pity Ltd was empowered under a provision in its constitution to appoint a managing director. However, the company did not appoint managing director, executed a contract with Vincent for the purchase of a certain property. The market price for the property subsequently collapsed. The board of Big Hopes Pity Ltd, learning of the contract, expressed their disapproval to Paul and claimed that the company was not bound by the contract. Vincent seeks your advice as to his legal position. Issue: Is the company bound by the contract with Vincent? Relevant law: Constructive notice, Turned, and s. 129(2)(a) and (b), s. 29(5) (6) CA 2001 , Actual authority and Apparent authority. Application: Under the old principle of constructive notice, the constitution of public companies are made available for public inspection and therefore, the public are deemed well aware of the limitations on the authority of the companies’ principle will not apply here as Big Hopes is a private officers. This old company. Furthermore, under the common law Turnaround’s case, any outsiders with companies can assume that the persons with whom they are with have the authority to contract on behalf of the companies and all proceedings have been complied with. Dealing internal In this case, the constitution of Big Hopes states that a MD should be appointed but did not state that Paul has been properly appointed as the MD. Vincent can argue that he assume that Paul has been appointed as the as per the Turnaround’s case and therefore, has the authority to contract on behalf of the company. He also has no actual knowledge or suspicion that Vincent has not been properly appointed (Note: In test/exam, if there are any circumstances that arouse suspicion, argue using the case of Nonresident Developments). The principle of constructive notice has also been abolished by s. 130(1) of CA 2001. In dealing with companies, outsiders are entitled to make certain assumptions contained in s. 129 of ACACIA as per s. 128(1) of ACACIA. In this instance, Vincent can argue that he has been empowered by s. 128(1) to make certain s. 129 assumptions when contracting with Paul from Big Hopes. Reticular, he can assume under and (b) that Paul has been properly appointed as the MD of Big Hopes and can therefore exercise all the customary duties of a MD which include entering into contracts on behalf of Hopes. In this essence, Vincent can assume that Paul has actual implied authority to enter into contracts on behalf of Big Hopes. Note: In test/exam, if question requires arguing on apparent/oste nsible authority, use the case of Freeman Locker to support your argument). Vincent can also argue either s. 129(5) or (6) depending on whether Big Hopes execute contracts by way of seal or without seal. Either way, Vincent can argue that Paul has complied with all the internal proceedings when executing the contract with/without seal (e. G. Proper meeting, quorum, fixation of seal, witnessing of fixation et cetera) under either of these two sections. The exceptions under s. You read "Company law ans" in category "Law" 128(4) CA 2001 will not apply to Vincent as he has ever known or suspected that Paul has not been properly appointed and the contract has not been properly executed. Conclusion:Big Hopes is bound by the contract with Vincent under both common law (as per Turnaround’s case whereby entitled to make certain s. 29 assumptions again, there is no evidence suggesting any when dealing with Big Hopes and exceptions under s. 128(4) that will rebut the s. 129 assumptions made by Vincent. Tutorial 4 Q. Maria is keen to purchase shares in Action Ltd. , but is unable to raise sufficient funds to do so. It is suggested that the company lend Maria the sum of $50,000 to enable h er to complete the purchase. The directors of Action Ltd. Seek your advice as to this proposal. Issue: Can Action Ltd lend Maria the sum of $50,000? Is this considered as financial assistance? Relevant law: s. AAA(1) CA 2001, ASIA v Adler. Application: Under s. AAA(1), a company may only financially assist a person if it (a) does not materially prejudice the interests of its shareholders and affect its ability to pay its creditors, (b) must be approved by all shareholders, and (c) exempted by s. CHIC. Therefore, before Action Ltd lends the $50,000 to Maria, it must ensure that it has comply with all the requirements in s. AAA(1). Otherwise, Action Ltd will be breaching s. AAA(1) as per the case of ASIA v Adler. In ASIA v Adler, Mr.. Adler the director in HI has utilized the money of HI to financially assist his personal company PEE to purchase the shares in HI when HI was already in financial difficulty and without the approval of the shareholders. The court deemed this to be a contravention of s. AAA(1). Requirements in s. AAA(1). Conclusion:Action Ltd can only financially assist Maria to purchase the shares of Action Ltd if it satisfied all the requirements in s. AAA(1). Otherwise, Action Ltd will be deemed to have contravened s. AAA(1) as per the case of ASIA v Adler. Tutorial 5 Q. An opportunity has arisen to purchase land for development at Christmas Hills. The shareholders of Central Developments Ltd. Passed a resolution that the company purchases the land. However, the directors have ignored the resolution and refuse to act on it. Are the directors bound to implement the shareholders’ resolution? Issue: Are the directors of Central Developments bound by the shareholders’ resolution to purchase the land at Christmas Hills? Relevant law: Separation of ownership and management powers, Automatic Self- Cleansing, John Shaw. Application: Under the principle of separation of ownership and management powers, the management of the company is vested fully in the board of directors despite the shareholders owning the company. Therefore, the shareholders cannot pass resolutions instructing the directors on how to manage the company. According to the cases of Automatic Self-cleansing and John Shaw, the directors as long as acting within the management powers bequeathed on them by the company’s constitution have absolute power in managing the company and the shareholders have no rights to interfere in this as per the company’s constitution. In this event, the directors of Central Developments can ignore the resolution of the shareholders to purchase the land at Christmas Hills because purchasing of land can be considered as a type of management power and only the Conclusion: The directors of Central Developments can ignore the resolution of the shareholders to purchase the land at Christmas Hills because the directors have absolute power to manage the company including whether to purchase the land as per the principle of separation of ownership and management powers and the cases of Automatic Self-cleansing and John Shaw. Tutorial 6 IQ. Seven Dwarves Ltd operates nursing homes. Its directors are Sleepy, Grumpy and Dopey. They hold 30% of the shares in the company. The directors allocate 1 million new shares to certain business associates. This has upset certain shareholders who claim that the placement was made with a view to preventing a future takeover offer being made. The directors claim that the allotment was made to raise cash required for the company’s future needs. Advise the shareholders. Issue: Advise the shareholders whether the directors have breached any of their director’s duties by allocating 1 million new shares to certain business associates? Relevant law: s. 181 CA 2001 â€Å"proper purpose† (but for test), Whitehorse v Carlton, Howard Smith. Application: Under s. 181 CA 2001, directors must act in good faith, in the best interest of the shareholders and for a proper purpose. The shareholders in claimed that the directors have issued 1 million new shares to Seven Dwarves certain business associates to defeat a takeover and therefore, the issuing of these new shares is for an improper purpose. To determine whether the issuing of new shares is for an improper purpose (I. E. To defeat a takeover), the but for test will be applied. But for to defeat a future takeover, will the directors issue the 1 million new shares? † (Note: Students must reason and argue on this question to reach an answer, either Yes/No). If the but for test reveals that no, if not to defeat a takeover, the directors will not issue the new shares, then obviously the reason for issuing shares is to defeat a takeover. He to prevent the wife from having majority control over the business and in the case of Howard Smith, whereby new shares were issued to prevent future takeover, the court ruled that the issuing of new shares in these cases was for improper purpose. Therefore, the directors have breached s. 181 because their purpose in issuing the 1 million new shares to certain business associates is to defeat a future takeover which is considered as improper as per the two cases discussed above. Conclu sion: The directors of Seven Dwarves have breached s. 81 because they have issued cases new shares for an improper purpose (I. E. To defeat a takeover) as per the of Whitehorse v Carlton and Howard Smith. Tutorial 7 (This question is not taken out from the tutorial questions but you can still use it as a reference for answering questions from this tutorial) Sam and Pete are the erectors in BBC Pity Ltd. They have decided to use the 1 million dollars in the company’s bank account to invest in the shares of DEAF Ltd after doing all the necessary research and making all the necessary inquiries by themselves from the Internet and financial Journals and magazines. Six months after the investment, the World Financial Crisis occurs and DEAF Ltd goes into liquidation causing BBC Pity Ltd to lose its 1 million dollars investment. Do the shareholders of BBC Pity Ltd have a course of action against Sam and Pete? Issue: Do the shareholders of BBC have a course of action against Sam and Pete for asking an investment that caused the company to lose 1 million dollars? Relevant law: Old subjective common law standard, Re Cardiff Bank, Re City Equitable Fire Insurance, Daniels v Anderson (objective standard), s. 80(1) and s. 180(2) CA 2001. Application: Under the old common law, a subjective standard is applied to directors when exercising their duty of care towards their companies. In both the case of Re Cardiff Bank and Re City Equitable Fire Insurance, the subjective standard is applied whereby directors were only required to exercise duty of care as per their personal level f skill and experience. However, this approach has been overruled by the moder n objective standard landmarks in the case of Daniels v Anderson. In this case, all directors are expected to exercise a duty of care that any other reasonable directors will apply in the same position and circumstance and not according to their personal level of skill and experience. This standard is further illustrated in 180(1) CA 2001 which states that directors must exercise their power with degree of care that any reasonable directors would exercise in the same circumstances, position and responsibilities. In this event, if the shareholders of BBC are able to establish that any other Sam and Pete would be breaching their duty of care towards BBC under 180(1). However, Sam and Pete will be able to raise the Business Judgment Rule Defense (BBC) in s. 180(2) CA 2001. In order for them to raise the BBC, they must satisfy four elements; (1) They have made the business Judgment in good faith and for a proper purpose – there is no evidence that Sam and Pete have ill intentions when making the investment, (2) They have no material personal interest in the business Judgment – again, there is no evidence that Sam and Pete have gained any benefits financial or non-financial wise from the investment, (3) They have informed themselves of the subject matter of the business Judgment – there is evidence that Sam and Pete have done all the necessary research including online and from Journals and magazines, and (4) Any other reasonable person in the same position and circumstances would have made the same investment as they did after doing all the research – Sam and Pete must be able to prove so. If Sam and Pete are able to establish all the elements in s. 180(2), then they will be able to use the BBC to defend themselves from breaching s. 0(1). Conclusion: The shareholders of BBC will have a course of action against Sam and Pete if they can prove that no reasonable director will invest the 1 million dollars in DEAF and therefore, in doing so, Sam and Pete have breached their duty of care to the company under s. 180(1). However, if Sam and Pete can establish all the elements under s. 180(2 ), then they will be able to use the BBC to defend themselves from breaching s. 180(1). Tutorial 8 (These questions are not taken out from the tutorial questions but you can a shareholder in EX. Pity Ltd. How to cite Company law ans, Essays

Friday, December 6, 2019

Oedipus Rex Compared to Hamlet Essay Example For Students

Oedipus Rex Compared to Hamlet Essay In the play Hamlet: Prince of Denmark, a young prince is in search of the truth behind his fathers murder. At first, Hamlet sees the ghost of his deceased father and it tells him he was murdered by the now current king, Hamlets Uncle Claudius. Hamlet has to think about how he will get revenge for his fathers death, but because his only knowledge came from a ghost that only Hamlet heard speak, he is hesitant to get his revenge quickly. Hamlet does everything he can to show others the truth he knows. It is important to Hamlet that he gets revenge but he also wants to torment the king and show everyone the truth. Hamlet knows his anger toward his Uncle may cause confusion in his judgement of the truth so he is hesitant to kill him right away. Hamlet second-guesses himself throughout the play only to end up dying, but not before he kills Claudius. In Oedipus the king, a child is born to a royal couple, this king and queen want to know how their child will be in the future. So they ask an oracle to tell them the future and it tells them he will kill his father and marry his mother. They have the child taken away to be killed, so they save themselves, but instead the child ends up in a new castle and is raised by another couple as their own child. They never tell Oedipus that he is not their own. When Oedipus hears he is to kill his father and marry his mother, he leaves his parents and searches for a new residence. Except he meets up with a man on the road and kills him. He then finds a castle that is being terrorized by a sphinx and answers the riddle it asks. He then marries the Queen and rules over the kingdom. In the end, the city is threatened by a plague that the oracle said will cease when the city gets rid of the one who murdered the king, Oedipus announces that the murderer will be punished. However, while searching fo r the truth Oedipus discovers that he is the murderer and the son of his wife. In the end, Oedipus finds his wife/mother hanged herself, so in the midst of all this Oedipus gouges his eyes out and banished himself from the castle. In both these plays, truth played a major role in the outcome. Hamlet became so engrossed in the truth; he was too hesitant and continued to second-guess himself throughout the play. He may have become king but because truth was so important to him Hamlet ended up dying as well. As for Oedipus, knowing the truth may not be all it is cracked up to be. Would Oedipus have really murdered his father and marry his mother if they had not asked the oracle about the future? These plays question the power of truth but is it better to know what is lurking behind every door, or is it better to be curious about it, but never actually seek it. Knowing the truth was very powerful in both these plays and it had a major effect on the outcomes of both stories. Maybe by knowing the future the truth is set. If the future remains unknown than so will truth. Truth was a deciding factor in both outcomes of the plays. If the truth were known earlier, it would have changed the entire aspect of each play. Works Cited? Shakespeare, William. Hamlet: Prince of Denmark. ? The Essential theatre 7th edition? Oscar G. Brocket, Robert J. Ball. Harcourt Brace College Publishers ? Pg. 114? Sophocles. Oedipus the King? Pg. 71