Tuesday, December 24, 2019

Effects of Divorce on Children - 1861 Words

Divorce has many victims; they do not fall under a specific category and do not target a specific gender, age, race, or ethnicity. The effect of divorce on children differs from the effect on the spouses. The reasons for divorce are endless; they have many side effects on the spouses but most importantly affect the children. Divorce is one of the main reasons for disruption in our communities. Regardless of the reason, divorce always harms the children’s decisions, personalities, and futures. The rate of divorced parents is growing daily according to divorcestatistic.org, the divorce rate in America for the first marriage is between 41 and 50 percent. Divorce does not only happen between the spouses, especially when there are children involved. Marriages might end with divorce due to conflicts. Divorce can also occur due to loss of connection and intimacy in a ten to twelve year marriage (Psych page, Gottman Research). Communication problems between spouses can cause one of th e spouses to be very abusive. An abusive parent can harm the child and lead to psychological problems in the future. In addition, criticism plays a vast role in the relationship; one spouse might say, â€Å"What kind of person are you?† (Psych page, Gottman Research). In my experience, this question allows the problem or fight to escalate. Communication in any relationship is vital, understanding one another makes it easier for each person to explain their point of view. According to Gottman, poorShow MoreRelatedEffects Of Divorce On Children And Divorce1460 Words   |  6 Pagestoday’s world, most people accept divorce or separation as a way of life. Parents are unaware or do not understand the damage it can have on their children. However, in some instances, it is better to get out of an abusive relationship because that can be as toxic as divorce. On average, 50% of children who are born with married parents, will experience divorce before the age of 18 (Children a nd Divorce Baucom, 2010-2017). Along with divorce statistics, 40% of children in America are raised withoutRead MoreDivorce Effect On Children : Divorce1825 Words   |  8 PagesApril, 2016 Divorce Effect on Children Divorce seems to become more and more common nowadays. Divorce can be a simple or complicated process depending if children are involved. This process can have negative and positive effects in a child s life. A divorce is the legal process of a marriage coming apart. A divorce with children involve cost more and takes about eleven months for the marriage to end. The majority of the divorces happening in the United States involve children. Divorce has differentRead MoreThe Effects Of Divorce On Children And Children1255 Words   |  6 Pages The effects of divorce on children Throughout time, people from all over the world have chosen to live together, or â€Å"get married†. Marriage is a beautiful thing, but there are some couples who are unable to maintain their relationship, because they choose divorce as a solution to cope with the problems between husband and wife. Although divorce can be solution to cope with problem between the husband and wife, it still has dangerous effects especially on their children. Children with divorced parentsRead MoreEffect Of Divorce On Children1068 Words   |  5 PagesEffects of Divorce on Children While divorce may reduce strain on a failing marriage, it may cause damaging effects on the children. Often times parents are too concerned on the marriage to notice the effects on children. From the way parents react in front of the children to new marriages all can directly affect the daily lives, and behavior of children. Though, there are ways to mitigate some of the issues that can come with divorce, possibly avoiding some of the effects all together. UnfortunatelyRead MoreDivorce : The Effect On Children1084 Words   |  5 PagesNicole Halterman Professor Tausch CTI 102 D Written Communication 4 October 2014 Divorce: the Effect on Children In today’s society, divorce has become a normal occurrence. Married couples today are getting divorces due to many different reasons; conflicts in the marriage, a loss of romantic feelings, perhaps a spouse is having an affair, or other types of problems. Most divorces have children that are really young and due to their age, they do not have any idea how to deal with this type of situationRead MoreDivorce And Its Effects On Children1296 Words   |  6 Pages50% of all the children born to married parents today, will experience the divorce of their parents’ before they are eighteen years old. Divorce in and of itself doesn’t necessarily harm a child, but the conflict between parents does. A child’s behavior correlates directly with the effects of their parents’ separation. Deep emotional wounds are created before, during, and after divorce and separation. It is rare that you find a child that actually wants their parents to separate, unless the ma rriageRead MoreDivorce And Its Effects On Children1343 Words   |  6 Pagesknow that the divorce rate in the United States hovers around fifty percent, including forty percent under the age of 21. In that fifty percent one of every six adults is likely to go through a divorce twice. Not only does divorce affect the adults involved, but forty percent of children in the United States will experience parental divorce (Portnoy, 2008). Children with divorced parents struggle with negative consequences emotionally, mentally, and academically compared to those children from intactRead MoreDivorce And Its Effect On Children998 Words   |  4 PagesDivorce has become very popular in the United States. According to the U.S. Census Bureau, on average 50% of marriages result in a failed marriage. This percentage has been at it’s all time high. Not many couples have sustained a successful marriage in present days. Divorces have been around for a long time, and unfortunately kids have a lways been affected the most according to their age. As a result of divorce, there are many children that have to go through this situation at a very young ageRead MoreThe Effect Of Divorce On Children847 Words   |  4 Pagesbecome more unmanageable. According to Sirvanli-Ozen, recent studies confirm that the impacts of divorce on children are not restricted to the childhood period but are manifest during adolescence and adulthood as well. Many studies on the subject show that children who have experienced parent divorce have a lower degree of psychological accord and lower socioeconomic status in their adulthood (Amato Keith, 1991b; Biblarz Raftrey, 1993; Ross Mirowsky, 1999; Amato, 1996) and have more problemsRead MoreEffect Of Divorce On Children1207 Words   |  5 Pagesmarriages that end in divorce has been steadily increasing. When a marriage ends children are impacted and it’s not only emotional and devastating the couples but this also has a huge effect on the children of all ages involved. Many parents go thro ugh a divorce disaster with little knowledge of the effects that the children may go through. Some of the most common impacts that divorce has on children include the fact that children tend to start to blame themselves for the divorce, adjusting in areas

Monday, December 16, 2019

Jollof Rice and How to Prepare It Free Essays

General purpose: To inform Specific purpose: To inform my classmates about Jollof rice and how to prepare it. Central idea: Jollof rice is more than an ordinary meal. It is a cherished and appreciated meal. We will write a custom essay sample on Jollof Rice and How to Prepare It or any similar topic only for you Order Now INTRODUCTION Attention-getter: Ever go to a party in Nigeria and not get served Jollof rice? Such a party is regarded as incomplete by the people who attend it. Jollof rice is that important to Africans, especially Nigerians. Credibility material: Jollof rice is a regular meal for me. My family and I eat this meal every Sunday. Over the years, it has become our weekly Sunday ritual. Relevance to audience: Trying a new recipe that is different from the usual ones can be very interesting and refreshing. Preview of speech: With the help of presentational aid, I hope to give you an idea of how important this meal is, the origin, ingredients needed and procedure on how to prepare it. (Link: First, what is the origin of this meal and where is it common?) According to kitchenbutterfly.com, the origin of this meal is one which is really debated. It was first traced to the Senegambian region that was ruled by the â€Å"Jolof† empire ‘Jolof’ was one of the Wolof states that ruled Senegal and Gambia and it was interpreted to mean â€Å"power†. These West African countries are said to be rice growing countries so it was said to be that home grown rice was combined with foreign food staples like tomatoes to birth jollof rice. The meal is common in the western part of Africa, Western African countries such as Senegal, Gambia, Nigeria, Ghana, Sierra-Leone, Mali and Liberia. C. The different West African countries have various names for the meal   In Senegal, the meal is known as â€Å"Benachin† or â€Å"Theiboudienn† In French speaking western region it is referred to as â€Å"Riz Au Gras† In Nigeria, it is referred to as the normal Jollof rice. (Link: second, what are the ingredients needed?) According to an article made by the all Nigerian food recipe, there are some main ingredients needed to prepare this meal. The main ingredients needed are: rice, tomatoes stew, chicken or beef (depending on preference), pepper and salt to taste, onions, know cubes (also known as Maggi), thyme and curry. Other ingredients such as sweet corn, green peas can be used, but are not regarded as main ingredients. (Link: Third, how is this meal prepared?) According to the â€Å"Congo cook book†, there are certain steps taken to have a well prepared jollof rice. The directions before preparing the meal   Prepare the tomato stew and keep aside. This helps fasten the cooking process Depending on your preference to use either chicken or beef. Cut, wash and boil the preferred option. Parboil the rice and put in a drain. B. The directions when preparing the meal Pour the chicken or beef stock and tomato stew into a sizable pot and leave to boil Add the drained parboiled rice, salt and pepper to taste. Add water, water level should be the same as the rice level. Cover and leave to dry. C. The meal goes with almost anything. Serve with plantain, salad or a drink. CONCLUSION Summary statement: Jollof rice is a main West African dish and an important meal in Nigeria in particular. Now you know the origin, ingredients needed and how to make the meal. Audience response statement: You can now try a new African dish and understand what is so special about the dish. WOW statement: The famous Maya Angelou recognized this dish and declared it a â€Å"smashing success† in her book A Song Flung up To Heaven. She writes about her mother sharing a letter containing a recipe for jollof rice which was brought from Africa. If Maya Angelou loved it, you will! How to cite Jollof Rice and How to Prepare It, Papers

Sunday, December 8, 2019

Fried Green Tomatoes free essay sample

I chose to critique the film Fried Green Tomatoes. I wanted to show that this film is about two friendships between four women that prove that when you find that person that is your best friend, you find the best in yourself. This film was released in 1991. It was based on the book, Fried Green Tomatoes at the Whistle Stop Cafe by Fanny Flagg. Ms. Flagg was also the one who wrote the screenplay as well. The movie is filmed in the present, which would have been 1990-ish, where we meet Evelyn Couch who is visiting a nursing home with her husband, Ed. She meets a lonely old woman Cleo Threadgoode, whom everyone calls Ninny, and they begin talking. Ninny shares a story with Evelyn about Idgie Threadgoode and Ruth Jamison, taking place in the 1920’s and the 1930’s. We see dual storylines here. The first in the present with Evelyn and Ninny and then the story of Idgie and Ruth in the past, both of them being told chronologically but at different periods of time. We will write a custom essay sample on Fried Green Tomatoes or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page In the first, or establishing shot, we hear a train whistle and the camera pans over a ghost town and eventually stopping at a run-down building that says The Whistle Stop Cafe. Watching this movie, I found myself laughing, then crying and then laughing and feeling happy. I found myself relating to the characters, most of them in one way or another which was a good feeling. I saw the insecurity in Evelyn, the way that she is so passive and shy. She is very naive. She is trying to get her husband to pay attention to something other than sports on television. He comes home from work, picks up his dinner that has been set on the table, grabs a beer and then he sits in his chair and ignores her. The stubbornness of Idgie, she is one that does what she wants, when she wants and won’t follow the rules, even if they are in her best interest. The quiet strength of Ruth, she can be the most kind and ladylike woman, but when it comes to her child or her best friend, she is willing to do anything to keep them safe. The carefree Ninny, who does not seem to have ever met a stranger, may be old, but is very direct and lovable. I think that through the movie we see that within each set of friends, that in the beginning there is one that is shy and passive and then other is outspoken and extroverted. As their friendships grow, they balance each other out. Evelyn becomes more self-confident and assertive, with her husband for example. Ninny learns that you are never too old to find your best friend. Idgie learns how to let people into her heart, and teaches Ruth how to think for herself and gives her courage to leave her abusive husband. Ruth tries to tame Idgie’s wild ways and Idgie discovers that she has someone that she can be herself with. All of these things are so very important. The protagonists in this film; Evelyn, Ninny, Idgie, and Ruth each face their own form of enemy or antagonist. For Evelyn, it is her poor self-image. For Ninny, it is her longing to go home. Idgie in this particular point in time is facing the court that is trying her for murder. Ruth faces her abusive husband. All of these things each threaten to hold each of these women back. This film falls into two different genres; drama and comedy. There is no love story, no fight scenes, nothing explodes. It is the story of friendship and with that you have tears and laughter, like in real life. The film is set in the fictional town of Whistle Stop, Alabama and in Valdosta, Georgia. You can hear the southern twang in the accents of the characters that would suggest the southern descent. The score contains several southern gospel, blues, and then some soft pop ballads, but throughout the movie the sound of a train whistle is prevalent both in the presence of a train and without. The use of a train is vital to the film. The train is where Idgie and Ruth have their first â€Å"adventure† stowing away in a train car containing food and throwing that food to needy families along the track. The train is present during the important moments in the film; when we first see Evelyn, Buddy’s death, the birth of Ruth’s son, Frank Bennett’s murder, when we are told of Ruth’s cancer. There is voice over from Ninny when we go from the present to the past. We hear her talk about the past and then there is a fade out and then in. These are often used at the beginning and/or end of a scene or sequence as a sort of punctuation mark, fading into a shot from a black screen or fading to black at the end, like bringing the lights up or down during a stage play (Goodykoontz 2011). Other sounds in the movie are used to let audience be aware of the character’s surroundings. For example, when Idgie goes to the stump to get the honey, we hear the buzzing of bees, or scenes from the cafe you can hear things sizzling and cooking. The four main actors in this film are; Kathy Bates/Evelyn, Jessica Tandy/Ninny, Mary Stuart Masterson/Idgie, and Mary Louise Parker/Ruth. Imdb1991) They are all wild card actors, which made this film enjoyable to watch. With no one typecast into any certain role, you could not predict how one was going to act or do. It made it easier to picture these actors in the roles that they played here. Each actor was well chosen to play each role. The personalities of the actors fit with the persona lities of the character of the story. When I read the book now, I see Kathy Bates when I read about Evelyn and Mary Louise Parker when I read about Ruth. It makes the story more enjoyable, I think when I can read it and watch along in my head. The clothing worn depicts the time period very well. We know that it is warm by the way that people are dressed; light flowing dresses and simple pants and shirts with the sleeves rolled up. The hairstyles also compliment the time; hair up and pinned or put up softly so that some curls flow for the women and the men had very short and well kept hair. Those men who had hair kept it slicked back or in a traditional curl. Everyone in the past storyline seems to constantly wear a gleam of sweat if they appear outdoors. Only in the present-day storyline are we able to measure time, and that done here with holidays. In the beginning we see Evelyn bringing a basket of candy to her husband’s aunt. Then we see different decorations in the nursing home, Halloween, Thanksgiving, Christmas, and Valentine’s Day. The past is different because Ninny is telling the story so she says when things happen so we are not left to guess for ourselves. The lighting in this film is tied to the mood of the particular scene. The sun shines when things are good and happy. When Frank comes to take the baby away, it is a tense scene and is shown with dark lighting and lots of shadows. It gives a menacing tone. When there are deaths, the lighting is dull and sorrowful, and even the weather is a factor. During the more somber scenes, it is cloudy and rainy which gives a sense of sadness to the already dismal part of the storyline. A normal lens was used to shoot this movie as the scenes are shot as if one was seeing them with their own eyes. The effect that this film has on society is that it presents a realistic and classic view of friendship that people can in some way relate to. It has a great deal of fiction in regards to the storyline. But there are some parts that have a bit of truth to them. The matter of racism, given the time period, is portrayed as it has been documented in history books. The presence of the Ku Klux Klan is another piece of our nation’s history. Not a great one, but still a true one. The film is directed, produced, and written by Jon Avnet, who is credited with such films as The War and Up Close and Personal. Mr. Avnet worked with author Fannie Flagg to write the screenplay. This story may have â€Å"chick flick† written all over it but one should not be fooled, there is more to this film than just four chicks laughing and crying together. There is, of course, the story of friendship, but there is mystery, there is a bit of our dark history, there’s a murder and then there is food. Fried green tomatoes and the best barbeque you ever had†¦the secret’s in the sauce. Fried green tomatoes free essay sample This first page also lets me know what time period this novel is based on. The next couple of pages Introduces a couple of Important characters such as: Giggle Threaded, Ruth Jameson, Slopes, Nozzle, Big George, Mrs.. Ninny Threaded, and Evelyn Couch. The plot really kept me thoroughly entertained and on my toes. I TLD necessarily know what was going to happen next. After Ruth broke ledges heart, she did various actions that really gave me a different outlook on her character.Both ledge and Ruth did some sneaky things that couldve got them in loads of trouble. Even Sleeps did some scandalous actions that shocked Mel The plot definitely built lots of suspense that made the climax look even more horrifying. The novel itself continues to flip back and forth between two different time periods. The first one being when Ninny Threaded is telling all her amazing life stories to Evelyn, and the second being Evelyn actually listening Mrs. We will write a custom essay sample on Fried green tomatoes or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page . Threaded. The novel tried to foreshadow the whereabouts of ledge at the end.Even though Ninnys stories to Evelyn had come to a close, could ledge still be somewhere alive? The whole novel shows various patterns of cause-effect relationships. Because Ruth had to leave ledge, ledge did some unrealistic and unimaginable actions. Due to Sippers brave, yet horrifying behavior, ledge had to suffer for it later on in her life. After Ninny told her life stories to Evelyn, Evelyn has somewhat of a life transformation and she began to realize who she really was. The telling of Ninnys stories dont occur in logical order.They really flip back and forth through various years which made her stories come together in different, creative ways. The time period that Ninny is referring to when she tells her stories to Evelyn and when Ninny is actually telling the stories to Evelyn were also different. Ogles different meetings with Frank, Frank beating his wife, and Ruth confessing to ledge that she was ready to leave it all behind are Just a couple events that led up to the climax- Ruth actually getting all her belongings and leaving Frank.The events that occurred after she left him were really shocking and kept me wanting to read more. Fried green tomatoes By selflessly mood. The first page talks about somebody Just opening up a diner in Whistle Stop, time period this novel is based on. The next couple of pages introduces a couple of important characters such as: ledge Threaded, Ruth Jameson, Sipped, Nozzle, Big horology entertained and on my toes. I didnt necessarily know what was going to happen next. After Ruth broke ledges heart, she did various actions that really gave me a different outlook on her character. Both ledge and Ruth did some sneaky things that couldve got them in loads of trouble. Even Sepsis did some scandalous actions that shocked me! The plot definitely built lots of suspense that made the climax look ledges different meetings with Frank.

Saturday, November 30, 2019

Two Sided Fallacy Essays - English-language Films,

Two Sided Fallacy Jud Van Matre Eng 12 Honors Period 2 November 3, 2000 The Two-Faced Citizen The focal point of this essay is to define the life of Dr. Henry Jekyll, and the transformation he went through in becoming Edward Hyde. Dr. Henry Jekyll is a physician in London. He is very well respected and is currently experimenting the dual nature of man kind. Edward Hyde is a manifestation of Dr. Jekyll's personality. He is accused of committing evil acts throughout the novel. The first scene consists of Mr. Richard Enfield's and Mr. Utterson walking along a street in London. Mr. Enfield has a recollection of a previous incident in which he witnessed an extremely unpleasant man trampling upon a small screaming girl while this man was running somewhere. A large crowd had gathered around and they saw the man, Edward Hyde. The crowd forced the man to give money to this girl for trampling over her. Hyde did not run over her for any reason. He just did it out of spite and evil. He represents all the evil in the world. The reaction of others to him is one of horror because while looking at him, others feel a desire to strike out at him and kill him. His physical appearance brings out the worst evil in other people. Since Hyde represents evil, he is symbolically represented as being much smaller than Dr. Jekyll. I believe Dr. Jekyll created Hyde because he had a theory that man has a good side and a bad side. While investigating this, he developed a potion that could release the evil in a person in the form of a totally different person. Then this person could commit any evil act it wanted, and then drink the potion to return back to normal. The only problem with this is the fact that he drank this potion so many times, he was no longer able to control this process. He was unable to transform back into Dr. Jekyll. Another example of Hyde's evil is in the killing of Sir Danvers Carew. Sir Danvers appears to have been killed for no apparent reason. The murder of Sir Danvers was seen by a maid who was working nearby. She states that Hyde meet with a man in the street. After the two exchanged words, Mr. Hyde lifted his heavy walking stick and clubbed the old man to death. This tells us the reader that Mr. Hyde has grown in fury. From trampling over a child in the first scene, he now commits murd er for no reason. I believe Hyde killed Sir Danvers because Sir Danvers was described as being a peaceful and good man. Hyde represents pure evil, so naturally he would hate good gentlemen. The only reason why Sir Danvers dies, was because he was a good man. He not only killed Sir Danvers', he had to trample over him. The goodness of Sir Danvers brings out the most intense evil in Hyde. From the source Selves and Shadows we receive an indepth look into the novel. David Hume asks the question, Would any man, who is walking along, tread as willingly on another's gouty toes, whom he has no quarrel with, as on the hard flint and pavement? Well, here is that man, and his total blindness to any feeling but his own is central to his character. As Jekyll puts it, when he is eventually driven to attempt a choice between his two lives. It is very obvious that no man would want to start a fight, if there is no reason to fight. Since Mr. Hyde represents the evil in men, Dr. Jekyll releases his evil through his other side, Mr. Hyde. Mr. Hyde is Jekyll's way of releasing his anger. In the final chapter called, Jekyll's Full Statement Jekyll reveals everything. He states, No one but me knows my true nature. All these years, the public has seen only a veneer of my real self. This is so very true due mostly to the fact that no one knew Mr. Hyde was a part of Dr. Jekyll. Jekyll constantly emphasizes the greatness of his background. He reminds us of his wealthy family, and great education. But he

Tuesday, November 26, 2019

the patriot essays

the patriot essays The Patriot, directed by Roland Emmerich has to be one of the most patriotic films I have ever seen. This film focuses on merit, and how people of all backgrounds worked together for one cause: freedom. The movie for the most part is accurate, even though most commentators have a different standpoint. Many of us are aware of the revolution and other important historical events. But, what we have to put into perspective is they the way all of these historical events have been perceived. The movie's protagonist is Mel Gibson playing the role of Benjamin Martin. Benjamin Martin is a South Carolina planter who is still haunted by his notoriously brutal past as a soldier in the French and Indian War. When the American Revolution comes, he chooses not to fight for the Continental Army because he wants to protect his family. But when the British Colonel Tavington threatens their welfare and kills one of his sons, he chooses to enlist. Martin becomes the leader of a makeshift militia, which consists of peasants, slaves, a minister, and other irregulars. During the war Martin and his men discover that they will pay a steep personal price for their rebellion, but are still willing and will go in with it. Thanks to their courage and bravery since July of 1776 through the Declaration of Independence every American is granted rights that must be enforced. There were great war scenes, good emotional scenes, good directing, good music, good acting, funny parts, there were no slow or boring parts plus it was different than other war movies made recently (since Saving Private Ryan). What do I mean by that you wonder, well to understand that you have to acknowledge that this war was very different from World War II in it's whole setup. Here there were ideals involved in which men strongly believed and thought these beliefs were worth fighting for, so they enlisted in the army out of free will (almost all of them). In World Wa ...

Friday, November 22, 2019

Sybil Ludington, Possible Female Paul Revere

Sybil Ludington, Possible Female Paul Revere Sybil Ludington (April 5, 1761–February 26, 1839) was a young woman who lived in rural Dutchess County, New York, close to the Connecticut border, during the American Revolution. The daughter of a commander in the Dutchess County militia, 16-year-old Sybil is said to have ridden 40 miles into what is today Connecticut to warn members of her fathers militia that the British were about to attack their neighborhood. Fast Facts: Sybil Ludington Known For: Warning the Colonial militia that the British were comingBorn: April 5, 1761 in Fredericksburg, New YorkParents: Col. Henry Ludington and Abigail LudingtonDied: February 26, 1839 in Unadilla, New YorkEducation: UnknownSpouse: Edmond OgdenChildren: Henry Ogden Early Life Sybil Ludington was born on April 5, 1761, in Fredericksburg, New York, the eldest of 12 children of Henry and Abigail Ludington. Sybils father (1739–1817) was a prominent figure in Fredericksburg- he had taken part in the Battle of Lake George in 1755 and served in the French and Indian War. He owned about 229 acres of undeveloped land in what is today New York State, and he was a mill owner. As a farmer and mill owner in Patterson, New York, Ludington was a community leader and volunteered to serve as the local militia commander as war with the British loomed. His wife Abigail (1745–1825) was a cousin; they married on May 1, 1760. As the eldest daughter, Sybil (spelled Sibel or Sebel in documentary records) assisted with childcare. Her ride in support of the war effort is said to have taken place on April 26, 1777. Sybils Ride According to the story as reported in a 1907 biography of Colonel Ludington, on Saturday night, April 26, 1777, a messenger arrived at Colonel Ludingtons home, saying that the town of Danbury had been burned by the British, and the militia was needed to furnish the troops for General Gold Selleck Silliman (1732–1790). The members of Ludingtons militia were scattered in their homes, and the Colonel needed to stay at his residence to muster the troops. He told Sybil to ride for the men and tell them to be at his house by daybreak. She did, riding on a horse with a mans saddle, bearing the news of the sack of Danbury. By daybreak, nearly the whole regiment was mustered at her fathers house and they went out to fight the battle. Mapping the Ride In the 1920s, historians of the Enoch Crosby Chapter of the Daughters of the American Revolution (DAR) mapped the possible route of Sybils ride using a list of the locations of the militia members and a contemporary map of the region. It was estimated to have been about 40 miles, three times as long as that of Paul Reveres ride. By some accounts, she traveled on her horse, Star, through the towns of Carmel, Mahopac, and Stormville, in the middle of the night, in a rainstorm, on muddy roads, shouting that the British were burning Danbury and calling out the militia to assemble at Ludingtons home. The 400-some troops were not able to save the supplies and the town at Danbury- the British seized or destroyed food and munitions and burned the town- but they were able to stop the British advance and push them back to their boats, in the Battle of Ridgefield on April 27, 1777. Becoming a Heroine The earliest report of Sybils ride we have is from over a century later, an 1880 account in a book named History of the City of New York: Its Origin, Rise and Progress by Martha J. Lamb. Lamb said she had gotten her information from the family and had used a wide array of correspondence and interviews with private individuals, as well as genealogical references. The 1907 reference cited above is a biography of Colonel Ludington, written by historian Willis Fletcher Johnson and privately published by Ludingtons grandchildren, Lavinia Ludington and Charles Henry Ludington. Sybils ride only takes up two pages (89–90) of the 300-page book. The surmised route for the ride was marked by historical markers to celebrate the 150th anniversary of the American Revolution: theyre still there today, and theres a tale about the existence of Sybils Oak and that her horse was called Star. Writer Vincent Dacquino reports that according to records assembled in the 1930s, George Washington visited the Ludingtons to thank Sybil, but letters describing that visit were lost even then. Legacy of Sybil Ludington In a 2005 article, historian Paula Hunt tracked down the available information about Sybil, and describes the growth of the story in importance throughout the 20th century, setting its various meanings within the context of current events. In the Victorian era, the American Revolution was an important meme about nativism: groups like the DAR (established in 1890), the Colonial Dames of America (1890), and the Mayflower Descendants (1897)  all were situating descendants of people in the original 13 colonies as real Americans, in comparison to new immigrants. During the Great Depression, Sybils ride became an icon of the ability for ordinary people to perform extraordinary feats during times of adversity. In the 1980s, she represented the growing feminist movement, highlighting the way womens roles in history have been forgotten or downplayed. When those tales compared her favorably to Paul Revere (three times as long as Reveres ride, and she wasnt captured by the British), the story was attacked as fraudulent and feminist-biased: in 1996, the DAR refused to put a marker on her grave establishing her has a recognized patriot. The group eventually changed its mind in 2003. Its a Great Story, But... Sybil Ludington was a real person, but whether her ride happened or not has been debated. Since the original publication of the tale nearly a century after it is said to have occurred, Sybils story has been embellished: there are numerous childrens books, television programs, and poems written about her. A 4,000-pound sculpture of her ride was erected on the shores of Lake Gleneida in 1961, a U.S. postage stamp featuring her was issued in 1975, an episode of the PBS TV Series Libertys Kids featured her; and there has even been a musical and an opera performing her story. The Annual Sybil Ludington 50 / 25 K Run has been held in Carmel, New York every year since 1979. As Paula Hunt puts it, the Sybil story, whether it actually happened or not, indicates that people are, despite their reputation, interested in the past. Sybils ride has become a dramatic origin myth about American identity, as a heritage and as civic engagement, it embodies courage, individuality, and loyalty. Marriage and Death Sybil herself married Edmond (sometimes recorded as Edward or Henry) Ogden on October 21, 1784, and afterward lived in Unadilla, New York. Edmond was a sergeant in the Connecticut regiment; he died on September 16, 1799. They had one son, Henry Ogden, who became a lawyer and a New York State Assemblyman. Sybil applied for a widows pension in April 1838 but was turned down because she couldnt provide evidence of their marriage; she died in Unadilla on February 26, 1839. Sources Dacquino, Vincent T. Patriot Hero of the Hudson Valley: The Life and Ride of Sybil Ludington. Charleston SC: The History Press, 2019.  Sybil Ludington. Forgotten Voices. JCTVAccess KJLU’s News Department, YouTube, February 19, 2018.Hunt, Paula D. Sybil Ludington, the Female Paul Revere: The Making of a Revolutionary War Heroine. The New England Quarterly 88.2 (2015): 187–222.Johnson, Willis Fletcher. Colonel Henry Ludington: A Memoir. New York: Lavinia Ludington and Charles Henry Ludington, 1907.

Thursday, November 21, 2019

Innovation and Technology Management Essay Example | Topics and Well Written Essays - 3000 words

Innovation and Technology Management - Essay Example Finally in the last context, the essay will analyze the rapid growth of technological advances of companies that often tend to favour them, but not the individuals of the society. It would not be possible to achieve such perilous economic growth in today’s world without the essence of technological improvement. The learnt from the essay will help to analyze the evolution and modernization of the state of economic affairs in the contemporary commercial world. Situation Analysis Question 1: Discuss all elements of ‘The TQM Philosophy and its possible impact of each element to your university or college? What might be the benefits? Total Quality Management Approach is a special management segment that primarily concentrates on the quality-related attributes of an organization. It is also based on the participation of the individuals in an organization for long term success. For a corporate organization, quality management can be achieved by attaining customer’s satis faction and maximizing the society’s welfare. In the current epoch, TQM philosophy is related to the task of managing a commercial or a non-commercial organization in a manner that the concern can effectively and efficiently cater to the satisfaction of the stakeholders without altering the ethical values. The primary elements that are involved in TQM are factors that are related to customer-focusing, employee involvement, process-centred, integrated system, strategic, systematic, continual improvement, fact-based decision making and communications. In this era of ‘consumerism’, the ultimate decision makers to analyze the nature or quality of an organization are the customers. Regardless of improvements made by a firm in terms of its different factors of production, the... The essay will throw light on the types of intellectual property rights available to the companies. The essay would use at least three illustrations for each type of property right. Property rights are indispensible business facts today as they are the norms that protect the competitive rights of the companies in the market. The essay will analyze the rapid growth of technological advances of companies that often tend to favour them, but not the individuals of the society. It would not be possible to achieve such perilous economic growth in today’s world without the essence of technological improvement. The learnt from the essay will help to analyze the evolution and modernization of the state of economic affairs in the contemporary commercial world. This article makes a conclusion that that the state of business affairs in the modern days have changed to a large extent. The contribution of TQM has been priceless in the commercial field. Business firms have benefited from TQM elements to such an extent that the managers of the educational institutes are also willing to govern on the basis of the primary elements of TQM. It is believed that quality management in the higher educational institutes would help to nurture efficient individuals, who would facilitate the promotion of the growth in the economy’s commercial sector. Today, the business firms have highly developed in terms of business operations, but this progress is largely boosted by the protection of the intellectual property rights.

Tuesday, November 19, 2019

Saudi Airline Served Donkey Meat Research Paper

Saudi Airline Served Donkey Meat - Research Paper Example It has been revealed by many sources that Saudi Airline had been serving donkey meat during their flights in the past few months. 2. Reality Behind the Incident 2.1 Ignored Warnings from a Local Body In the month of June 2011, several sources reported that Saudi Airline had been serving donkey meat to their customers as a result of negligence to the warnings given by concerned authorities. A senior inspector at the Saudi Airlines supply department said that the airlines had received many warnings from Saudi Arabia’s General Food and Drugs Authority about their imports from Tunisia since the respective country was suffering from contagious diseases among their cattle (â€Å"Donkey meat on Saudi Arabian airline?†). The warnings also included aspects about the common sale of donkey and horse meat in the Arab country but the Saudi Airlines management did not pay attention to any of these warnings and reports. The senior inspector further said that these warnings made the ai rline stop importing meat from Tunisia when it had already been served to their customers for nearly a month. However, Chusid stated that the donkey meat was being served as beef and it continued for more than a single month. Alongside the possibility of it being donkey meat, the presence of diseased meat in Tunisia also did not alarm the authorities to stop the supply of the meat on an urgent basis. He stated that one of the reasons for such a late reaction can be the low price for which the meat was being bought. One factor that may have led to the lowering price of the meat was that the meat was near its expiration dates. Therefore, it can be stated that low priced meat was preferred by the management irrespective of the animal it came from. Lesser expense on the purchase of food might have increased their revenues but can certainly cause a crash in their customer loyalty. 2.2 Unexpected Behavior from a 3-Star Airline Saudi Airlines is a 3-Star airline (â€Å"The World’s 3-Star Airlines†). As per the standards of SkyTrax that has been set to provide rating for different airlines, 3-Star airlines provide â€Å"satisfactory standard† of mission critical services in numerous travel categories†. Food is one of the most important categories in the rating of any airline. Donkey meat is not expected to be served by any airline and definitely not from a 3-Star one as it is expected to meet certain criteria. Customers avail the services of airlines on the basis of their ratings; such irresponsible and appalling behavior from a 3-Star airline makes the customers doubt the credibility of the ratings, along with the respective airline. Chusid stated that it could not be known from the reporting of the local newspapers if it was served to the business class, the economy class or both. 2.3 Prohibition to Eat Donkey Meat in the Country’s Religion Saudi Airlines is owned by Muslims and is considered to be flag carrier airline of a Muslim c ountry, Saudi Arabia. Muslims follow the religion of Islam; Islam has allowed some foods, whereas some types of foods are forbidden for its followers. Donkey meat is considered to be forbidden to be eaten by Muslims (â€Å"The Fiqh of Halal and Haram Animals†). Their Holy Book of Quran states that these animals are designated for being ridden on, not for consumption. The usage of a forbidden meat in an airline of Muslim origin

Saturday, November 16, 2019

Efficient Pricing of Geomarketing Internet Services Essay Example for Free

Efficient Pricing of Geomarketing Internet Services Essay Abstract Geomarketing information is information which enables the user to take better and faster decisions about marketing and sales activities. The main source of information are geographic, demographic, and statistic data. These data are usually collected and maintained by several institutions and come in a variety of forms and formats. The final integrators acquire datasets, sort, filter and organize them, and offer in advance defined analyses. In this paper we focus on geomarketing services offered on the Internet where usually no physical good is exchanged. The subject of trade is geomarketing information the user is able to extract from the datasets. The main issue is how to set a Pareto efficient price for geomarketing information. The situation is Pareto efficient when the sum of user’s and service provider’s surplus is maximized. We investigate nonlinear pricing strategies and their efficiency to serve mass markets and attract users with different willingness to pay. Nonlinear pricing is used in a broader sense to include the practice of selling the same information product on various vertical markets at prices that are not in proportion to the differences in marginal cost. The market research for the GISMO project (Krek et al. 2000) showed that the US market differs substantially from the European. It has characteristics of a commodity market, where providers offer very similar or equal products at similar prices. This is feasible only if the prices for raw datasets, which represent the main barrier to enter the market, are low or zero. Competition among service providers drives prices down and enables them to successfully serve a mass market. The European approach is mostly determined by the high prices of datasets and restrictions on the copyright forced by the National Mapping Agencies. This prevents further production and creation of information products and serves only a narrow group of users with high willingness to pay. We list the most i mportant conditions for Pareto efficient nonlinear pricing of geoinformation services. 1 Introduction Price is a very important element of trade. It can only be discussed in relation to what is offered, how much value the potential user attaches to the product and how much he is willing to pay for it. A geomarketing service in this paper serves as an example for a geoinformation service in general where a Geoinformation product is traded. A Geoinformation product is defined as a specific piece of geoinformation which provides an answer to a particular user’s question. The provider of a geoinformation service has to select the medium of delivery and the price for the service. We concentrate on geomarketing services provided online through the Internet. The service is mostly done automatically, and not by a human. Usually no physical good is exchanged. Gathering information about the product, placing the order, and payment is done over electronic network. In the sections 5 and 6 we analyze different pricing strategies for geographic information and their Pareto efficiency. The s ituation is called to be Pareto efficient when the user’s and service provider’s surplus is maximized. We review marginal cost and nonlinear pricing and explain in which cases they conform to the Pareto efficiency. Setting a price equal to marginal cost is not economically viable since such a price does not cover fixed cost. Some examples of nonlinear pricing, such as quantity discounts, term-volume commitments, and list of price options satisfy the Pareto efficiency requirement if certain conditions are satisfied. We conclude with the list of the most important conditions for the Pareto efficient pricing of geomarketing service. They can be applied to geoinformation services in general. 2 Geomarketing Services A geomarketing service is a service of providing geomarketing information to the user. Geomarketing information is information which enables the user to take better and faster decisions about marketing and sales activities. This information can be delivered to the user in a different form, format and through different media. Geomarketing information is gathered from internal company’s data, which are combined with external demographic, statistic and geographic data. A geoinformation that satisfies a particular information need in a specific decision making situation is called a Geoinformation product. 2.1 Geomarketing Data Geomarketing data consists of internal company’s data and external data. Internal data (the rate of sale, current customers profiles, etc.) is collected and maintained by the company itself. External data comes in a variety of formats and forms, as a collection of numbers, reports, maps, etc., and is gathered by different institutions. Demographic and statistic data is collected and maintained by Statistical Offices and aggregated to a certain extent. Geographic data is provided in Europe mostly by National Mapping Agencies, in USA by the US Geological Survey (USGS). Because of this broad variety of data, their structure, content and formats, they cannot be easily integrated and are not straightforward usable by a non-technical user. 2.2. Geomarketing Information: a Product The source of geomarketing information is geomarketing data. Specialized companies collect the data from different sources, combine them, sort and filter them. For example, the statistical and demographic data have spatial dimension, which is usually given by the street name and house number. This data has to be geocoded in order to link the attributes (purchasing power, age, educational structure, etc.) with geographic data. The providers identify dimensions of data that are valuable for a certain group of users, package them and offer them as a Geoinformation product. A Geoinformation product is a specific piece of geoinformation which provides an answer to a particular user’s question. The answer to the question can come in many different forms; as a selected dataset, combination of datasets, a report, a map, etc. To make the geomarketing service feasible, some in advance designed steps and analyses are offered to the user. The most common are customer profile, site selection, and market penetration. 3 Internet as a Medium of Delivery The Internet changes the way transactions are done. User and seller can enter an electronic relationship without personal contact. The buyer can place an order any time (from the seat at home, late in the evening) and can take as much time as he wants or needs to take the decision about the purchase. Searching for the right product over e-network, he can get comparable information about similar products from other companies, their characteristics and prices. Cooperation with potential and current users of geoinformation services is important. In the Internet world, the gap between service-consumers and services-providers blurs. â€Å"Consumers become involved in the actual production process, their ideas, knowledge, information become part of the product specification process† (Tapscott 1996). In a geomarketing service, usually no physical good is exchanged. The user gets o the result of nly the analysis, the answer to his question. Even more advanced geomarketing services offer the possibility of uploading the data of the user on the provider’s server and combining these data with the collection of the data on the server. A service offered via Internet involves less administration, paper work, and less human resources, which reduces transaction costs. Direct connection to the computer accounting system can provide systematic and efficient registration of the transactions. Security and protection mechanisms enable the service provider to follow and control transactions. Selecting a proper pricing policy in order to attract widespread use of the service is of great importance. In the next sections, we review marginal cost and nonlinear pricing, and analyze their Pareto efficiency. 4 Pareto Efficiency The situation is Pareto efficient if there is no way to make both the user and the service provider better off. The sum of the user’s and provider’s surplus is maximized. It can be a understood lso as maximizing the difference between economic benefits and costs which appear on the user’s as well as on the provider’s side. The economic benefits are the benefits of using the product on the product has to him with his willingness to pay for the marginal unit of the product. If he expects high benefits, he will be willing to pay a high price for the product. Cost incurred on the provider side is mostly high fixed cost of designing and creating the Geoinformation product and enabling the service, and low marginal cost of providing an incremental unit of the product. The user’s cost is the price he pays for the product, the transaction cost and the cost associated with acquiring the information about the product. 5 Marginal Cost Pricing and Pareto Efficiency Marginal cost pricing is pricing where the price equals the marginal cost. The cost of an economic good is an important determinant of how much the producer will be willing to produce. The concept of â€Å"marginal† or â€Å"extra† cost is crucial for the situation on the market of economic goods. It has an important role in appraising how efficient or inefficient any particular price and production pattern is (Samuelson 1967). This observation is valuable for the standard economic good where the total cost of producing the product depends on the quantity produced. The cost structure a Geoinformation product substantially differs from the cost structure of the standard economic good. The total cost of producing the product is mostly a high fixed cost of collecting the data and designing the product, and is not recoverable if the production is halted (sunk cost). The marginal cost of producing t e second and each additional copy of the product is h very low or zero, mostly the cost of disseminating the product. The share of the marginal cost in the total cost of production is negligible. Marginal cost pricing of a Geoinformation product would according to the marginal cost pricing scheme imply very low or zero price. â€Å"Pricing at marginal cost may or may not be efficient: it depends on how the consumers’ total willingness to pay relates to the total cost of providing the good† (Varian 1999). At the first stage of the production, the datasets have low value to most users and they have low willingness to pay for them. The high cost of producing the datasets cannot be recovered. M arginal cost pricing does not imply efficiency because it does not cover the total costs of producing a Geoinformation product. 6 Nonlinear Pricing and Pareto Efficiency Pricing is nonlinear when it is not strictly proportional to the quantity purchas ed. Different prices are charged to different groups of buyers or the same product. Nonlinear pricing is also used in a f broader sense to include the practice of selling the same product on different markets at prices that are not in proportion to the differences in marginal cost. Good examples are phone rates, frequent flyer programs, and electricity (Wilson 1993). The first notion about charging different users differently for the same product was called price discrimination (Pigou 1920) and distinguished among three different forms of discrimination. 6.1 Price Discrimination Pigou (Pigou 1920) first used the term price discrimination and he described the following forms of nonlinear pricing: †¢ First-degree price discrimination The first-degree price discrimination is sometimes known as perfect price discrimination. The producer sells different units of output at different prices and these prices may differ from buyer to buyer. The buyer pays the maximum price that he is willing to pay, irrespective of the cost of production and supply. Usually it is difficult to determine what is the maximum price someone is willing to pay for the product. †¢ Second-degree price discrimination The producer sells different units of output at different prices, but every individual who buys t e h same amount of the good pays the same price. Second-degree price discrimination is much more common in practice. Good examples of this discrimination are volume discounts and coupons. †¢ Third-degree price discrimination The producer sells the output to different people at different prices, but every unit of output sold to a given person sells at the same price. Customers are divided into more groups, which have different demand curves and different price elasticity. The highest price is charged to the groups with the lowest elasticity. Examples of this discrimination are student discounts. 6.2 Two-part Tariff Two-part tariff is an example of a nonlinear pricing and consists of two parts. The first part of the tariff usually comes in the form of a membership, an annual or monthly license and is supposed to cover fixed cost. The second part of the tariff is related to the usage (number of reports transferred, number of bits, layers, etc.) and covers the incremental cost. This pricing scheme is often used in telecommunication. Users are charged for the connection to the network and additionally for the usage. Two-part tariff pricing scheme can be very naturally applied to a geomarketing service. The first part of the tariff represents a membership fee, an annual or monthly licence for access to the data, reports and maps; the second part is a n additional fee usually based on the volume transferred. Price P for a geoinformation service is then P = p0 + p v.q where p0 pv q fixed fee (annual, monthly, membership, etc.) price set for a volume transferred quantity transferred. The revenue collected from the first part of the tariff (p0 ) is supposed to cover the fixed cost of producing the first copy of the Geoinformation product. The price of u sage (pv ) should cover the incremental cost and the cost of transaction. The combination of the membership and usage constructed for the predicted demand is set so that the company’s total cost is recovered. How high the fixed fee and the price of usage s hould be is an important question. Availability of the raw data at low price will change the nature of the market. The price for both parts of the tariff (p0 and pv ) will form according to the equilibrium rules of supply and demand. 6.3 Pareto Efficiency of the Two-part Tariff Two-part tariff can disadvantage a certain segment of the users. Imagine a geomarketing service company offering geographic data over the Internet. For the simplicity of reasoning, imagine there exist two segments of users; those who use data on a regular basis and have a high willingness to pay (governmental institutions, ministries, utilities, etc.), and those who seldom need data (students, individuals, small and medium companies, etc.) and have low willingness to pay. In this case, a high fixed fee excludes the users with low willingness to pay, occasional users who need only a small volume of the data and are not willing to pay an annual membership fee or a license. The necessary condition for Pareto efficiency is not satisfied. 6.4 Quantity Discounts Quantity discounts are a form of a nonlinear price where the provider charges a lower price for a higher volume purchased. The opportunity of selling high volumes at a low price is often neglected in geoinformation business. Increased revenue from the higher volume at lower price enables the provider to improve the service and reduce prices for all users. The quantity discounts are usually designed in order to stimulate sales, but can complicate the billing and accounting system. Pareto efficiency of quantity discounts depends on the volume-price categories offered by the service provider. This pricing strategy might disadvantage users with low willingness to pay, not being able to pay nor interested in purchasing higher volumes. 6.5 Term-Volume Commitments According to this strategy the user agrees with the service provider to pay a certain amount of money for the service in advance. The payment is set according to the predicted demand for the service. This kind of agreement usually involves some discounts, because the whole payment is done at once and at the beginning of the period. Short-term contracts involve lower reduction in price than longer contracts. This strategy reduces billing and accounting cost and is often used by Internet providers. For example, â€Å"a one-year-term commitment to spend $2000/month obtains a discount of 18%â€Å" (Gong and Srinagesh 1998), for the 5 -year contracts the Internet providers use up to 60% discount. Term-volume commitments satisfy the Pareto efficiency requirement if the user can choose among different schemes and are designed indiscriminately. 6.6 List of Price Options Different pricing options can be combined and offered as a list of price options. In geomarketing services, the two-part tariff is often combined with an additional pricing option, the uniform pricing scheme. Under the uniform pricing scheme, the user pays the price (p2 ), which is proportional to the data transferred. Usually the tariff per volume purchased (p2 ) is higher in the uniform pricing scheme than the price (p1 ) proposed in the two-part tariff scheme, but the user need not pay an annual membership fee or license. The user profits if he is an occasional user, who needs a small volume of data. The sum he is willing to pay in this case is lower than the annual membership or license fee plus the cost of the data transferred.

Thursday, November 14, 2019

Invisible Man Essay: Identity and Invisibility -- Invisible Man Essays

Identity and Invisibility in Invisible Man      Ã‚  Ã‚   It is not necessary to be a racist to impose 'invisibility" upon another person. Ignoring someone or acting as if we had not seen him or her, because they make us feel uncomfortable, is the same as pretending that he or she does not exist. "Invisibility" is what the main character of Ralph Ellison's Invisible Man called it when others would not recognize or acknowledge him as a person.    The narrator describes his invisibility by saying, "I am invisible ... simply because people refuse to see me." Throughout the Prologue, the narrator likens his invisibility to such things as "the bodiless heads you see sometimes in circus sideshows." He later explains that he is "neither dead nor in a state of suspended animation," but rather is "in a state of hibernation." (Ellison 6) This invisibility is something that the narrator has come to accept and even embrace, saying that he "did not become alive until [he] discovered [his] invisibility." (Ellison 7) However, as we read on in the story, it is apparent that the invisibility that the narrator experiences, goes much further than just white people unwilling to acknowledge him for who he is.    While searching for his true identity, the narrator frequently encounters different people who each see him differently. "Who the hell am I?" is the question that sticks with him as he realizes that nobody, not even he, understands who he really is. At some points in his life, identities are given to him, even as he is still trying to find himself. While in the Brotherhood, he was given a "new identity" which was "written on a slip of paper." (Ellison 309) He was told to "starting thinking of [himself] by that name ... so that eve... ... Cliffs, N.J.: Prentice-Hall, Inc., 1971.   45-63. Ellison, Ralph.   Invisible Man.   New York: The Modern Library, 1994. Holland, Laurence B.   "Ellison in Black and White: Confession, Violence and Rhetoric in 'Invisible Man'."   Black Fiction: New Studies in the Afro-American Novel since 1945.   Ed. A. Robert Lee.   London: Vision Press, 1980.   54-73. Klein, Marcus.   "Ralph Ellison."   After Alienation: American Novels in Mid-Century.   Cleveland: World Pub., 1964.   71-146. Langman, F.H.   "Reconsidering Invisible Man."   The Critical Review.   18 (1976) 114-27. Lieber, Todd M.   "Ralph Ellison and the Metaphor of Invisibility in Black Literary Tradition."   American Quarterly.   Mar. 1972: 86-100. Major, Clarence.   American Poetry Review.   Nov/Dec. (1973) 17. Morris, Wright. "The World Below."   The New York Times Book Review 13 Apr.1952: 5.   

Monday, November 11, 2019

Internal Factors Affect Change of Leadership in Organization

The current issue and full text archive of this journal is available at www. emeraldinsight. com/1753-8351. htm IJWHM 2,1 Work-related health attributions: their impact on work attitudes ? ? Sara Goransson, Katharina Naswall and Magnus Sverke 6 Department of Psychology, Stockholm University, Stockholm, Sweden Abstract Purpose – The purpose of this study is to introduce the concept of work-related health attributions and investigate the effects of such perceptions as well as of health status on work-related attitudes and turnover intentions.Design/methodology/approach – Building on attribution theory, the study tests the assumption that negative work-related health attributions impair employee work-related attitudes and intentions, and moderate the relation between health status and work-related attitudes. Cross-sectional questionnaire data from 785 Swedish retail white-collar workers are collected to test these assumptions by utilizing moderated regression analyses.Find ings – The results show that negative work-related health attributions are related to lower levels of job satisfaction and organizational commitment as well as higher levels of turnover intention, even after controlling for demographics, work climate variables, and mental distress. Further, the signi? cant interaction between attributions and mental distress indicates that it makes a difference for employees’ turnover intentions if an individual with high mental distress attributes it to work or not.Practical implications – Work-related health attributions should be taken into account in order to avoid impaired levels of employee work motivation. The measure introduced renders it possible to identify and help those individuals who believe that work affects their health negatively. Originality/value – The results underscore the relevance of how individuals think their health is affected by their work, and contributes to the understanding of how health stat us relates to work-related attitudes.Since the measure of work-related health attributions is easily administered it is also valuable for practitioners working with employee health and attitudes. Keywords Personal health, Job satisfaction, Employee turnover, Sick leave, Sweden Paper type Research paper International Journal of Workplace Health Management Vol. 2 No. 1, 2009 pp. 6-21 q Emerald Group Publishing Limited 1753-8351 DOI 10. 1108/17538350910945974 1. Introduction The high rates of sick leave and the evidence regarding the effects of work on employee health in general have received increased attention in both research and media as of ? ate (Catalan Matamoros et al. , 2007). This increased attention, along with the importance of work and health to individuals, is likely to have contributed to an increased interest among employees in how work actually affects their health (Harding and Hikspoors, 1995; Harpaz, 2002; Kallenberg and Larsson, 2000). The Third European Study on Wor king Conditions indicates, for instance, that 27 percent of employees believe that their health and safety are at risk because of their work (European Foundation, 2001).Further, a Swedish study on persons on long-term sick-leave found that 66 percent of those asked named work as the underlying cause for ? their sick-leave (Goransson et al. , 2002). Moreover, Ettner and Grzywacz (2001) found that individuals’ perceptions of how work affects health tend to differ between different work situations, even after dispositional differences were controlled for. None of these studies, however, have studied how employee attitudes and behavioral intentions may be affected by such a negative view of how work affects health.We introduce the concept of work-related health attributions, which we argue may add to the understanding of the factors that contribute to variation in job satisfaction, organizational commitment, and the will to stay with the organization. Whereas numerous studies hav e documented ill-health at work to be related to low job satisfaction (Bradley and Cartwright, 2002; Fairbrother and Warn, 2001; Judge and Watanabe, 1993; Spector, 1997; Wright and Bonett, 2007), low organizational commitment (Leong et al. 1996; Mathieu and Zajac, 1990), as well as turnover cognitions and behaviors (Houkes et al. , 2001; Lee, 1988; Wright and Bonett, 2007), a closer examination of these studies reveals that there are differences in the strength of the association between ill-health and various outcomes depending on the measures used, but also between studies using the same measures. We propose that work-related health attributions can be an important part of the mechanism determining the relationship between ill-health and various outcomes.It is likely that an individual who is not feeling well and who attributes this to factors at work will be less satis? ed with work, less committed, and more prone to leave the organization, compared to an individual with same lev el of ill-health but who does not associate their health status with factors at work. The purpose of the present study is to investigate whether negative work-related health attributions are separate from ill-health, and if the concept contributes to the understanding of negative attitudes towards the job and the organization, and turnover intentions. . 1. Work-related health attributions Work-related health attributions concern the degree to which the individual considers working conditions to be a strong contributing factor to her health status. The perceived contribution of work to health can be positive, negative, or none at all. We propose that work-related health attributions represent an important factor in explaining the link between health and work-related attitudes.By taking work-related health attributions into account it is possible to study differences between those who experience ill-health and attribute this to working conditions and others with ill-health which they do not believe is caused by work. According to attribution theory, people tend to look for causes for events and situations they experience (Michotte, 1963; Weiner, 1985; Stratton, 1997), especially when the outcome is negative, such as in the case of ill-health.Work-related health attributions, then, can be viewed as a type of attribution, since they entail the individual’s explanation of events (in this case how work in? uences health). Furthermore, work-related health attributions focus on how the individual evaluates the contribution of work to her current or future health status, implying that even if the individual currently does not experience any ill-health due to work, she may see a risk of work affecting her health negatively if the situation does not change.Drawing on theories on social representation (e. g. Moscovici, 2000), we also suggest that beliefs are formed from individuals’ experiences as well as socially created and shared ideas and knowledge in gr oups. Such knowledge may consist of health complaints and sickness absence among people surrounding an individual, as well as the way work and its in? uence on health is discussed in research and media (see, for ? example, Catalan Matamoros et al. , 2007), and is important in shaping the individual’s perceptions of the impact of working conditions on health.Thus, negative work-related health attributions may arise both from an individual’s own experiences of a negative impact of work on health and from the individual’s awareness of a connection between Work-related health attributions 7 IJWHM 2,1 8 work and ill-health in the organization and society. The social aspects in the formation of attributions have been observed in previous research such as, for instance, a study where it was found that norms and social debate affected the overall attitude towards absenteeism in organizations (Van Vuuren et al. 2003). At this point, one important distinction should be ma de. We consider work-related health attributions to be separate from actual ill-health at work. Actual ill-health is a general concept and takes a person’s current health status and well-being into account, including such factors as problems with social functioning, sleeping problems, low self-esteem, and depression. Work-related health attributions, on the other hand, are work-focused and entail to what extent individuals perceive that work in? ences health, and do not have to be connected to actual symptoms or health status. Work-related health attributions can, in other words, be negative in spite of a person being in good health. Conversely, an individual can have symptoms of ill-health but believe that work has nothing to do with these symptoms. This discrepancy between health status and work-related health attributions may be due to early signs of health problems, or a conviction that the current work situation is not bene? ial to one’s health in the long run, bu t it is ultimately based on the individual’s evaluation of the situation. Figure 1 summarizes the relation between ill-health and work-related health attributions, and how they are expected to relate to work attitudes and turnover intentions. 1. 2. Consequences of work-related health attributions Expectancies and beliefs, of which work-related health attributions are one example, tend to affect attitudes and behaviors (Ajzen and Fishbein, 1980; Holland et al. , 2002; Weiner, 1985).In addition, the value placed on an object of interest plays an important part in shaping the attitudes toward that object (Ajzen and Fishbein, 1980). Since health is important and highly valued by most individuals, we expect that individuals with negative work-related health attributions also hold more negative attitudes towards work, such as lower job satisfaction and organizational commitment, and higher levels of turnover intention, compared to individuals with less negative work-related health attributions.In all employment relationships, it is the employer who is responsible for providing a decent work climate, preventing health risks at work, and making efforts to keep the employees healthy (Walters, 2002). Employees expect to stay healthy at work because of labor legislation which emphasizes the employers’ responsibility for occupational safety and health. Employers who take measures to safeguard the work environment show that they value their employees and care about their well-being, and reinforce the Figure 1. The relation between ill-health and work-related ealth attributions and their impact on work-related attitudes employees’ expectations of fair treatment in the employee-employer relationship. In response to such support from the organization, employees may develop more positive attitudes toward the job and increase their loyalty towards the organization (see Robinson et al. , 1994; Shore and Wayne, 1993). However, employees with negative work-rel ated health attributions probably hold their employer more or less responsible and exhibit strong negative reactions toward the organization (cf.Robinson and Morrison, 2000; Shore and Tetrick, 1994). Such reactions can include feelings of anger, disappointment, or resentment toward the party perceived as being responsible, which can be manifested as lowered satisfaction with the job and decreased commitment to the organization. Moreover, it has been argued that employees (especially those most quali? ed) tend to leave the company when they experience unfavorable working conditions (e. g. Hirschman, 1970; Pfeffer, 1998).The same might apply to individuals high on negative work-related health attributions; those who have the option may very well leave the organization if the employer does not take steps to remedy the conditions perceived to be threatening the individual’s health. We suggest that work-related health attributions should be taken into account when studying the rel ation between employee health and attitudes toward the organization, especially given that previous research on this relation has found differing results.However, the studies conducted consistently indicate that employee health may have a negative impact on job satisfaction, commitment and the intention to remain with the organization (see, for example, Leong et al. , 1996; Wright and Bonett, 2007). We believe that work-related health attributions make up an important part of the mechanism between employee health and its potential outcomes. 1. 3. The present studyThe purpose of the present study was to investigate the role of work-related health attributions in the context of mental distress and work-related attitudes (job satisfaction and organizational commitment) and behavior (turnover intention). We propose that low employee well-being and negative work-related health attributions, respectively, are associated with lower levels of job satisfaction and organizational commitment, and higher levels of turnover intention.We also propose that work-related health attributions moderate the relation between mental distress and work-related outcomes, in the sense that the negative effect of ill-health on work-related attitudes is stronger among individuals who hold negative work-related health attributions than among those with more neutral work-related health attributions. Since work-related health attributions can be considered a rather new empirical construct, we analyze its conceptual relation to mental distress before going on to testing our propositions.Research has shown that characteristics of the work environment are important in shaping attitudes such as job satisfaction and organizational commitment (Fairbrother and Warn, 2001; Parker et al. , 2003), and turnover intention (Griffeth et al. , 2000; Lambert et al. , 2001). In order not to overestimate the effect of work-related health attributions on outcome variables, we control for factors describing the climate at work (job autonomy, quantitative role overload, qualitative role overload, workgroup cohesiveness, and job challenge), in addition to demographic characteristics (gender, age and education).The research model is graphically represented in Figure 2). Work-related health attributions 9 IJWHM 2,1 10 Figure 2. Research model 2. Method 2. 1. Participants and procedure Data were collected within the framework of a project investigating how to attract, develop and retain white-collar workers in the Swedish retail and wholesale sectors. A random sample of 1,589 individuals was drawn from the membership roster of the Union of Commercial Salaried Employees (HTF), which is af? liated with the Swedish Confederation of Professional Employees (TCO).The HTF, which is the union representing white-collar employees in this particular sector, has a unionization rate of approximately 80 percent (Kjellberg, 2001). Questionnaires were mailed to the members’ homes during the spring of 2 002. A cover letter explained the general aim of the study and included information about compensation for participation in the study (a gift certi? cate was raf? ed off among the respondents) and that participation was voluntary. Participants returned their questionnaires in pre-addressed, postage-paid envelopes. Two follow-up mailings were administered to increase the response rate, one with a new questionnaire.The response rate after two follow-ups was 52 percent (n ? 829). After listwise deletion of missing data, the sample comprised 785 persons. The mean age of the participants was 44 years (SD ? 11), women made up 54 percent of the sample, 14 percent had a university exam, and the average organizational tenure was 11 years (SD ? 10). 2. 2. Measures Table I presents the correlations, mean values, standard deviations, and reliability estimates (Cronbach’s alpha) for all study variables. In general, the measures exhibited adequate reliability (alpha exceeding 0. 70), with the exception of qualitative role overload (alpha ? . 59). 2. 2. 1. Demographics. Gender (1 ? woman, 0 ? man) and education (1 ? university degree, 0 ? lower education) were assessed as dichotomous variables. Age was measured in years. 2 Mean SD Minimum Maximum Alpha 0. 54 0. 50 0 1 – 43. 57 1. 92 21 65 – Gender (woman) – Age 2 0. 06 – Education (University) 0. 01 2 0. 04 Job autonomy 2 0. 15 0. 13 Quantitative role overload 2 0. 08 0. 00 Qualitative role overload 2 0. 09 0. 05 Work group cohesiveness 2 0. 04 0. 04 Job challenge 2 0. 17 0. 15 Negative work-related health attributions 0. 01 2 0. 10 Mental distress 0. 12 2 0. 10 Job satisfaction 2 0. 03 0. 15Organizational commitment 2 0. 04 0. 23 Turnover intention 2 0. 03 2 0. 20 1 0. 14 0. 35 0 1 – – 2 0. 05 0. 00 2 0. 09 2 0. 02 2 0. 03 0. 02 2 0. 04 2 0. 08 2 0. 11 0. 08 3 5 6 7 8 9 10 11 12 3. 54 0. 90 1 5 0. 78 3. 44 0. 91 1 5 0. 78 2. 22 0. 78 1 5 0. 59 3. 74 0. 96 1 5 0. 84 3. 57 0. 8 7 1 5 0. 74 2. 52 1. 08 1 5 0. 84 9. 19 5. 56 0 32 0. 88 3. 74 0. 91 1 5 0. 88 3. 08 0. 94 1 5 0. 71 – 2 0. 13 – 2 0. 08 0. 31 – 0. 32 2 0. 09 2 0. 13 – 0. 38 0. 14 0. 13 0. 35 – 2 0. 40 0. 42 0. 35 2 0. 35 2 0. 20 – 2 0. 37 0. 28 0. 27 2 0. 34 2 0. 26 0. 56 – 0. 63 2 0. 09 2 0. 11 0. 47 0. 55 2 0. 52 2 0. 49 – 0. 48 2 0. 02 0. 03 0. 8 0. 53 2 0. 34 2 0. 32 0. 71 – 2 0. 39 0. 10 0. 10 2 0. 35 2 0. 35 0. 50 0. 40 2 0. 65 2 0. 56 4 Notes: – Not applicable; for r . 0. 06, p , 0. 05; r . 0. 08, p , 0. 01; r . 0. 10, p , 0. 001 (n = 785) 1 2 3 4 5 6 7 8 9 10 11 12 13 Variable 2. 04 1. 06 1 5 0. 80 – 13 Work-related health attributions 11 Table I. Correlations and descriptive statistics for the variables in the analysis IJWHM 2,1 12 Table II. Results of con? rmatory factor analysis of work-related health attributions and mental distress 2. 2. 2. Work climate. All climate variables were measured using a ? ve-point Likert scale (1 ? strongly disagree; 5 ? trongly agree). Job autonomy was assessed with a ? three-item index (Sverke and Sjoberg, 1994), including items (e. g. â€Å"I have enough freedom as to how I do my work†) drawn from Hackman and Oldham (1975) and Walsh et al. (1980). Quantitative role overload was measured using a three-item scale (Beehr et al. , 1976), consisting of items such as â€Å"I often have too much to do in my job†. Qualitative role overload was measured with three items (e. g. â€Å"I consider my responsibilities to be unreasonable;† Sverke et al. , 1999). Three items drawn from Nystedt (1992) were used to assess work group cohesiveness (e. g. Members stick together in my work group†). Job challenge was measured with a three-item scale (e. g. â€Å"I’m learning new things all the time in my job†) developed by Hellgren et al. (1997). 2. 2. 3. Health-related variables. We used the short version of the General Health Questionn aire (GHQ-12) to measure mental distress (Goldberg and Williams, 1988). The 12 items (e. g. â€Å"Have you been feeling unhappy and depressed during the last two weeks? †) were scored on a scale ranging from 0 (never/hardly ever) to 3 (always/almost always). Work-related health attributions were measured with a three-item scale developed for the present study.The items (â€Å"I believe that my work affects my health in a negative way†; â€Å"I think I can continue to work as I do now and remain healthy in the long run† [reverse coded]; â€Å"If I had another job my health would probably be better†) were scored on a ? ve-point Likert scale (1 ? strongly disagree; 5 ? strongly agree). The scale measuring work-related health attributions demonstrated a satisfactory internal consistency (Cronbach’s alpha ? 0. 74), and we went on to investigate whether work-related health attributions and mental distress represented two distinct constructs. This was tes ted using con? rmatory factor analysis.Three subscales with four GHQ items in every scale were constructed (see Mathieu and Farr, 1991) creating three parallel indices. The GHQ subscales and the items measuring work-related health attributions were then subjected to the con? rmatory factor ? ? analysis procedures in Lisrel 8 (Joreskog and Sorbom, 1996). The chi-square value did not indicate a perfect ? t between the two-factor model and the data (see Table II), but since the chi-square test is sensitive to sample size (Bentler and Bonett, 1980), we also relied on other indicators to determine model ? t. The adjusted goodness-of-? t index ? ? AGFI; Joreskog and Sorbom, 1996), the normed ? t index (NFI; Bentler and Bonett, 1980), the Akaike measure (AIC; Akaike, 1987), the standardized root mean square ? ? residual (SRMR; Joreskog and Sorbom, 1996) and the root mean square error of approximation (RMSEA; Browne and Cudeck, 1993) indicated that the two-factor model provided an improveme nt in ? t as compared to a model that tested for a single factor. Thus, our results indicate that work-related health attributions and mental distress represent two distinct constructs. The factor loadings ranged from 0. 78 to 0. 81 Model df x2 RMSEA SRMR AGFI AIC NFI Ddf Dx 2 Null 1 factor factors 15 9 8 2,851. 07* 426. 74* 7. 11* 0. 49 0. 24 0. 10 0. 42 0. 09 0. 04 0. 23 0. 64 0. 92 2,863. 07 450. 74 96. 11 0. 00 0. 83 0. 97 – 6 1 – 2,424. 33* 356. 63* Notes: * p , 0. 05; – not applicable for mental distress, and from 0. 73 to 0. 76 for work-related health attributions, indicating good local ? t. The inter-factor correlation was 0. 68. 2. 2. 4. Work attitudes. All attitude variables were measured using a ? ve-point Likert scale (1 ? strongly disagree; 5 ? strongly agree). Job satisfaction was assessed with a three-item measure (e. g. â€Å"I am satis? ed with my job†) developed by Hellgren et al. (1999) on the basis of Bray? ld and Rothe (1951). Organiz ational commitment was measured using three items (e. g. â€Å"The company means a lot to me personally†) from Allen and Meyer’s (1990) scale re? ecting the affective dimension of commitment. Three items were used to assess turnover intention (e. g. â€Å"I am actively looking for other jobs†). The scale is based on items from Lyons (1971) and Cammann et al. (1979), and ? modi? ed and translated to Swedish by Sjoberg and Sverke (2000). 2. 3. Analyses Three moderated hierarchical regressions were conducted with job satisfaction, organizational commitment, and turnover intention, respectively, as dependent variables.The interaction term between mental distress and work-related health attributions was formed by centering the predictors and calculating the product term, following the procedure described by Cohen et al. (2003). The control variables were entered in the ? rst (demographics) and second (work climate) steps. The main effects of mental distress and work- related health attributions were entered in the third and fourth step, respectively, while the interaction term was entered in the ? fth and last step. 3. Results Table III contains the results of the hierarchical multiple regression analyses.The demographic variables (gender, age, and education) explained 3 percent of the variance in job satisfaction. When the work climate variables were added in the second step, the total amount of explained variance increased substantially to 58 percent, and an additional 2 percent was explained by mental distress in the third step. In the fourth step, when negative work-related health attributions were entered, a total of 62 percent of the variance was explained (DR 2 ? 0. 02). However, the interaction term between mental distress and work-related health attributions (Step 5) did not contribute signi? antly to the explained variance. The regression coef? cients from the last step showed that women and those without a university degree were more satis? ed with their job. Furthermore, autonomy, quantitative overload, work group cohesiveness, and job challenge were positively related to job satisfaction. Of most importance to the present study was the ? nding that both mental distress and negative work-related health attributions were negatively related to job satisfaction and that they remained signi? cant predictors of job satisfaction when demographics and work climate variables were controlled for.In the next analysis, where organizational commitment was the dependent variable, the demographics explained 7 percent, the climate variables another 36 percent, and mental distress added 1 percent to the explained variance. Negative work-related health attributions added another 1 percent to the explained variance, whereas, again, the interaction effect was found to be non-signi? cant. Taken together, the model variables explained 43 percent of the variation in organizational commitment. All three demographics evidenced signi? cant effects in the last step; being a woman, beingWork-related health attributions 13 IJWHM 2,1 14 Table III. Results of hierarchical multiple regression analyses (standardized regression coef? cients from the last step) Dependent variable Step 1 Gender (woman) Age Education (university) DR 2 Step 2 Job autonomy Quantitative role overload Qualitative role overload Work group cohesiveness Job challenge DR 2 Step 3 Mental distress DR 2 Step 4 Negative work-related health attributions DR 2 Step 5 Mental distress* Negative work-related health ttributions DR 2 Model R 2 adjusted Job satisfaction Organizational commitment Turnover intention 0. 2*** 0. 02 2 0. 06** 0. 03*** 0. 10** 0. 14*** 2 0. 08** 0. 07* 2 0. 13*** 2 0. 11*** 0. 07* 0. 05*** 0. 36*** 0. 05* 2 0. 01 0. 14*** 0. 31*** 0. 55*** 0. 24*** 0. 04 0. 06 0. 12*** 0. 34*** 0. 36*** 2 0. 13** 2 0. 08* 2 0. 04 2 0. 09** 2 0. 16*** 0. 24*** 2 0. 11*** 0. 02*** 2 0. 05 0. 01**** 0. 11** 0. 04*** 2 0. 20*** 0. 02*** 2 0. 12*** 0. 01* ** 0. 35*** 0. 07*** 2 0. 04 0. 00 0. 63*** 2 0. 00 0. 00 0. 43*** 0. 06* 0. 00* 0. 39*** Notes: * p , 0. 05; ** p , 0. 01; *** p , 0. 001 older, and having a lower education were all associated with higher levels of organizational commitment.All climate variables except quantitative overload were positively related to organizational commitment. Mental distress was unrelated to organizational commitment, whereas negative work-related health attributions were negatively related to the criterion. The demographic variables explained 5 percent of the variance in turnover intention in the ? rst step and the work climate variables in Step 2 added 24 percent to the variance explained. Mental distress in Step 3 added 4 percent and negative work-related health attributions another 7 percent in the next step.In the last step, when the interaction term was included, the variance explained increased by 6 units and the total model explained 39 percent. The interaction term was signi? cant; indiv iduals high in mental distress and reporting negative work-related health attributions exhibited the strongest intentions to quit whereas those with low levels of distress and less negative work-related health attributions expressed the strongest willingness to stay within the organization. This indicates that it makes a difference for the intentions to turnover if an individual with high mental distress attributes it to work or not.There were small effects of the demographic variables, indicating that men, younger persons, and individuals with a university degree had stronger intentions to leave the organization. In addition, most work climate variables, as well as mental distress (those high in mental distress reported higher levels of turnover intentions), predicted turnover intention. The strongest standardized regression coef? cient was found for the relation between negative work-related health attributions and turnover intention. 4. DiscussionDespite the increased research in terest in work-related stress and health problems, little attention has been paid to whether, or to what extent, individuals’ attributions of ill-health due to work (making negative work-related health attributions) affects attitudes towards work and the organization. Those few studies that have investigated this phenomenon (see for example Ettner and Grzywacz, 2001) have not studied how these work-related health attributions contribute to the understanding of job satisfaction, organizational commitment and turnover intention.The present study indicates not only that the construct of negative work-related health attributions is distinct from subjective mental distress, but also that it has important implications for employee attitudes and behavioral intentions. Our results show that employees who reported negative work-related health attributions also expressed less satisfaction with their job, less commitment to the organization, and stronger intentions to leave the organiza tion – even after demographics, mental distress, and factors related to the work climate were controlled for.We proposed that there would be an interaction effect between mental distress and work-related health attributions on attitudes and turnover intention, such that the relation between mental distress and the outcome variables would be stronger for those with more negative work-related health attributions than for those not attributing their mental distress to their job. This proposition received partial support. While work-related health attributions failed to moderate the effects of mental distress on job satisfaction and organizational commitment, the interaction term was signi? ant for turnover intentions. This indicates that individuals with negative work-related health attributions and mental distress were more prone to leave the organization compared to individuals with the same level of mental distress but positive work-related health attributions. Hence, whether the individual attributes ill-health to work or not appears to be important for the effect of health status on outcomes, at least in the case of the intention to leave the organization.This result indicates that the concept of negative work-related health attributions may play an important role in explaining employees’ work-related behavioral intentions, and should be taken into account when the relation between health and outcomes is investigated. Another notable ? nding is that work-related health attributions were more important than mental distress for the prediction of work attitudes and withdrawal cognitions. In contrast to mental distress, which only predicted job satisfaction and turnover intentions, work-related health attributions predicted all three outcomes.That mental distress only appears to contribute to a limited extent is contrary to previous arguments that health status is important for employee work motivation and behavioral orientations (e. g. Hom, 2002). One explanation for our ? ndings may have to do with the fact that work-related health attributions concern perceived health risks that are associated with the overall work situation, whereas measures of ill-health, such as mental distress, may concern any aspect of an individual’s life, not only factors related to the job. As long as the individual does not hold negative work-related healthWork-related health attributions 15 IJWHM 2,1 16 attributions, it is conceivable that subjective health and well-being are only marginally predictive of attitudes towards work. Negative work-related health attributions may therefore be a better predictor of work-related attitudes and behaviors, and should be included in future research on work-related outcomes. The construct of work-related health attributions can thus have great practical utility, since it in a rather simple and direct way captures how individuals perceive that their work affects their health.This is also in agreement wi th Harter et al. (2003), who suggest that researchers have conceived employee well-being too broadly and often in a way which is not intuitively actionable for managers and employees. It is also important to note that negative work-related health attributions predicted work attitudes and turnover intention after controlling not only for mental distress and demographics, but also for characteristics of the psychological work climate.Our data from Swedish white-collar workers showed that, consistent with meta-analysis ? ndings (Parker et al. , 2003), job autonomy, role overload, work group cohesiveness, and job challenge were associated with lower levels of job satisfaction and organizational commitment. The present study also goes beyond previous research by suggesting that the evident effects of work climate variables remained after subjective well-being and work-related health attributions had been taken into account.The fact that negative work-related health attributions emerged a s one of the strongest predictors of job satisfaction, organizational commitment, and turnover intention clearly indicates that models for the predicting of employee attitudes and behavior could be improved by the inclusion of work-related health attributions. The results from the present study and previous research (see for example ? European Foundation, 2001; Ettner and Grzywacz, 2001; Goransson et al. , 2002) indicate that attributions of work-related ill-health can be understood in terms of psychological contract theory (e. . Rousseau, 1989). Most employees expect that their employers will strive to provide a healthy workplace, and such an assumption is typically sustained by labor law regulations and collective bargaining agreements. If employees experience a work situation which they deem as likely to bring about ill-health, it will be in contrast to their expectations, and thus most likely be perceived as a breach of the psychological contract with the employer (see Robinson and Morrison, 2000).Perceptions of a breach of the psychological contract are likely to result in negative work-related attitudes and withdrawal behaviors (Davy et al. , 1997; Turnley and Feldman, 1999). The ? nding that negative work-related health attributions were associated with impaired job satisfaction, lower organizational commitment, and stronger turnover intention may be interpreted as the result of a perceived breach of the psychological contract. However, while psychological contract breach was not the main focus in the present study, future research may bene? from explicitly including this concept in the explanatory framework. 4. 1. Limitations and future research Although the results of the present study point to the relevance of the concept of work-related health attributions, our conclusions may be affected by a number of methodological issues. For instance, we utilized data from a single point in time, thus prohibiting the study of temporal order between negative wor k-related health attributions and its postulated consequences. However, cross-sectional research is a necessary ? rst step to empirically explore theoretical hypotheses before investments in ongitudinal data are fruitful (Spector, 1994), and two events must be found to co-vary with one another before the causal link can be explored. Furthermore, our results were based on Swedish white-collar employees in a particular service industry, and a replication of the present study using longitudinal data as well as data from different industrial sectors in different countries would be necessary before any ? rm conclusions concerning the generality of the ? ndings can be drawn. All variables were assessed using questionnaires, thus potentially making the results susceptible to mono-method bias (Campbell and Fiske, 1959).Even though meta-analytic research suggests that method variance represents less of a problem than has been assumed in the past (Crampton and Wagner, 1994), the use of other types of data, such as interviews or diaries, would contribute to a better understanding of the role played by work-related health attributions. In addition, while we controlled for a number of factors known to be related to job satisfaction (Loher et al. , 1985), organizational commitment (Mathieu and Zajac, 1990), and turnover intention (Griffeth et al. 2000), it would be relevant to take additional control variables, such as personality characteristics, into account in order not to over-estimate the effects of work-related health attributions. Finally, only three potential outcomes of negative work-related health attributions were considered. Despite the consistent associations found between negative work-related health attributions and employee attitudes and turnover intention, it might be that negative work-related health attributions are less predictive of other factors, such as job performance, safety behavior, and more importantly, occupational injuries and sick-leave. . 2. Concluding remarks Despite these potential limitations, the results of the present study clearly suggest that the investigation of employees’ negative work-related health attributions is an important avenue for future research on work and well-being. The results suggest not only that individuals evaluate how work may affect their health and well-being, but also that such perceptions may have important implications for their attitudinal and behavioral orientations toward work.The measure of negative work-related health attributions could be used as a diagnostic instrument for identifying those individuals who are more likely than others to perceive health-threatening conditions at work. The construct can be useful for employers in order to identify and help employees who experience threats to their health due to their jobs. Given that power imbalances may inhibit the direct communication of interests with an employer (Rousseau, 2001), such that more vulnerable individuals, for instance temporary employees, are less likely to share ? nformation on health risks at work (Aronsson and Goransson, 1998), the collection of information regarding work-related health attributions could be one means for employees to communicate this important information with their employer. Work-related health attributions may also constitute a more direct way of assessing the effect of work on health, and may therefore be more useful as a complement to research which gathers information on aspects of the work situation in order to predict health.An important area for future research is how individuals may take these work-related health attributions into account when making decisions regarding their Work-related health attributions 17 IJWHM 2,1 18 work situation, such as changing work tasks, work setting, or even occupation. Work-related health attributions are important for those with good health as well as for those with health complaints, as it concerns how individuals believe work will affect their health in the future as well as how health has already been affected.If such decisions are based on knowledge concerning not only employees’ health status but also their work-related health attributions, this will potentially result in healthier organizations, on which improved health and lower sick-leave rates will follow. References Ajzen, I. and Fishbein, M. (1980), Understanding Attitudes and Predicting Social Behavior, Prentice-Hall, Englewood Cliffs, NJ. Akaike, H. (1987), â€Å"Factor analysis and AIC†, Psychometrika, Vol. 52 No. 3, pp. 317-32. Allen, N. J. and Meyer, J. P. 1990), â€Å"The measurement and antecedents of affective, continuance and normative commitment to the organization†, Journal of Occupational Psychology, Vol. 63 No. 1, pp. 1-18. ? ? ? ? Aronsson, G. and Goransson, S. (1998), â€Å"Tillfalligt Anstallda och Arbetsmiljodialogen† ? (â€Å"Contingent workers and the work environment†), Arbete och Halsa , Vol. 3, pp. 1-17. Beehr, T. , Walsh, J. T. and Taber, T. D. (1976), â€Å"Relationships of stress to individually and organizationally valued states: higher order needs as a moderator†, Journal of Applied Psychology, Vol. 61 No. 1, pp. 41-7. Bentler, P. M. and Bonett, D.G. (1980), â€Å"Signi? cance tests and goodness-of-? t in the analysis of covariance structures†, Psychological Bulletin, Vol. 88 No. 3, pp. 588-606. Bradley, J. R. and Cartwright, S. (2002), â€Å"Social support, job stress, health, and job satisfaction among nurses in the United Kingdom†, International Journal of Stress Management, Vol. 9 No. 3, pp. 163-82. Bray? eld, A. H. and Rothe, H. F. (1951), â€Å"An index of job satisfaction†, Journal of Applied Psychology, Vol. 35 No. 5, pp. 307-11. Browne, M. W. and Cudeck, R. (1993), â€Å"Alternative ways of assessing model ? t†, in Bollen, K. A. and Long, J. S. Eds), Testing Structural Equation Models, Sage, Newbury Park, CA, pp. 1 36-62. Cammann, C. , Fichman, M. , Jenkins, D. and Klesh, J. (1979), The Michigan Organizational Assessment Questionnaire, University of Michigan, Ann Arbor, MI. Campbell, D. T. and Fiske, D. W. (1959), â€Å"Convergent and discriminant validation by the multitrait-multimethod matrix†, Psychological Bulletin, Vol. 56 No. 2, pp. 81-105. ? Catalan Matamoros, D. J. , Axelsson, R. and Strid, J. (2007), â€Å"How do newspapers deal with health in Sweden? A descriptive study†, Patient Education and Counseling, Vol. 67 Nos 1-2, pp. 78-83. Cohen, J. Cohen, P. , West, S. G. and Aiken, L. S. (2003), Applied Multiple Regression/Correlation Analysis for the Behavioral Sciences, 3rd ed. , Erlbaum, Hillsdale, NJ. Crampton, S. M. and Wagner, J. A. (1994), â€Å"Percept-percept in? ation in micro-organizational research: an investigation of prevalence and effect†, Journal of Applied Psychology, Vol. 79 No. 1, pp. 67-76. Davy, J. A. , Kinicki, A. J. and Scheck, C. L. (1997), â⠂¬Å"A test of job security’s direct and mediated effects on withdrawal cognitions†, Journal of Organizational Behavior, Vol. 18 No. 4, pp. 323-49. Ettner, S. L. and Grzywacz, J. G. 2001), â€Å"Workers’ perception of how jobs affect health: a social ecological perspective†, Journal of Occupational Health Psychology, Vol. 6 No. 2, pp. 101-13. European Foundation (2001), Third European Survey on Working Conditions 2000, European Foundation for the Improvement of Living and Working Conditions, Dublin. Fairbrother, K. and Warn, J. (2001), â€Å"Workplace dimensions, stress and job satisfaction†, Journal of Managerial Psychology, Vol. 18 No. 1, pp. 8-21. Goldberg, D. and Williams, P. (1988), A User’s Guide to the General Health Questionnaire, NFER-Nelson, London. ? Goransson, S. , Aronsson, G. and Melin, B. 2002), â€Å"Vilja och Villkor – En Studie om ? Langtidssjukskrivnas Situation† (â€Å"Volition and conditions – a study about long-term ? sickness absence†), Statens Offentliga Utredningar: Handlingsplan for Okad Halsa i Arbetslivet [The Swedish Government’s Public Investigations: A Plan for Increased Health ? ? in Working Life; SOU 2002:5), Allmanna Forlaget, Stockholm. Griffeth, R. W. , Hom, P. W. and Gaertner, S. (2000), â€Å"A meta-analysis of antecedents and correlates of employee turnover: update, moderator tests, and research implications for the next millennium†, Journal of Management, Vol. 26 No. 3, pp. 463-88. Hackman, J. R. nd Oldham, G. R. (1975), â€Å"Development of the job diagnostic survey†, Journal of Applied Psychology, Vol. 60 No. 2, pp. 159-70. Harding, S. H. and Hikspoors, F. J. (1995), â€Å"New work values: in theory and in practice†, International Social Science Journal, Vol. 47, pp. 441-55. Harpaz, I. (2002), â€Å"Expressing a wish to continue or stop working as related to the meaning of work†, European Journal of Work and Organiza tional Psychology, Vol. 11 No. 2, pp. 177-98. Harter, J. K. , Schmidt, F. L. and Keyes, C. L. M. (2003), â€Å"Well-being in the workplace and its relationship to business outcomes: a review of the gallup studies†, in Keyes, L.M. and Haidt, J. (Eds), Flourishing: Positive Psychology and the Life Well-lived, American Psychological Asociation, Washington, DC, pp. 205-24. ? Hellgren, J. , Sjoberg, A. and Sverke, M. (1997), â€Å"Intention to quit: effects of job satisfaction and job perceptions†, in Avallone, F. , Arnold, J. and De Witte, K. (Eds), Feelings Work in Europe, Guerini, Milan, pp. 415-23. Hellgren, J. , Sverke, M. and Isaksson, K. (1999), â€Å"A two-dimensional approach to job insecurity: consequences for employee attitudes and well-being†, European Journal of Work and Organizational Psychology, Vol. 8 No. 2, pp. 79-195.Hirschman, A. O. (1970), Exit, Voice, and Loyalty: Responses to Decline in Firms, Organizations, and States, Harvard University Press, Cambridge, MA. Holland, R. W. , Verplanken, B. and van Knippenberg, A. (2002), â€Å"On the nature of attitude-behavior relations: the strong guide, the weak follow†, European Journal of Social Psychology, Vol. 32 No. 6, pp. 869-76. Hom, P. (2002), â€Å"The legacy of Charles Hulin’s work on turnover thinking and research†, in Brett, J. M. and Drasgow, F. (Eds), The Psychology of Work: Theoretically Based Empirical Research, Erlbaum, Mahwah, NJ, pp. 169-87. Houkes, I. Janssen, P. P. M. , de Jonge, J. and Nijhuis, F. J. N. (2001), â€Å"Speci? c relationships between work characteristics and intrinsic work motivation, burnout and turnover intention: a multi-sample analysis†, European Journal of Work and Organizational Psychology, Vol. 10 No. 4, pp. 1-23. ? ? Joreskog, K. and Sorbom, D. (1996), LISREL 8: User’s Reference Guide, Scienti? c Software International, Chicago, IL. Work-related health attributions 19 IJWHM 2,1 20 Judge, T. and Watanabe, S. (1993), â€Å"Another look at the job satisfaction – life satisfaction relationship†, Journal of Applied Psychology, Vol. 8 No. 6, pp. 938-49. ? ? Kallenberg, K. and Larsson, G. (2000), Manniskans Halsa: Livsaskadning och Personlighet (Human Health: Outlook on Life and Personality), Natur och Kultur, Stockholm. Kjellberg, A. (2001), Fackliga Organisationer och Medlemmar i Dagens Sverige (Union Organizations and Union Members in Sweden Today), Arkiv, Lund. Lambert, E. G. , Hogan, N. L. and Barton, S. M. (2001), â€Å"The impact of job satisfaction on turnover intent: a test of a structural measurement model using a national sample of workers†, The Social Science Journal, Vol. 38 No. , pp. 233-50. Lee, T. W. (1988), â€Å"How job dissatisfaction leads to employee turnover†, Journal of Business & Psychology, Vol. 2 No. 3, pp. 263-71. Leong, C. S. , Furnham, A. and Cooper, C. L. (1996), â€Å"The moderating effect of organizational commitment on the occupa tional stress-outcome relationship†, Human Relations, Vol. 49 No. 10, pp. 1345-63. Loher, B. T. , Noe, R. A. , Moeller, N. L. and Fitzgerald, M. P. (1985), â€Å"A meta-analysis of the relation of job characteristics to job satisfaction†, Journal of Applied Psychology, Vol. 70 No. 2, pp. 280-9. Lyons, T. F. 1971), â€Å"Role clarity, need for clarity, satisfaction, tension, and withdrawal†, Organizational Behavior and Human Performance, Vol. 6 No. 1, pp. 99-110. Mathieu, J. E. and Farr, J. L. (1991), â€Å"Further evidence for the discriminant validity of measures of organizational commitment, job involvement, and job satisfaction†, Journal of Applied Psychology, Vol. 79 No. 1, pp. 127-33. Mathieu, J. E. and Zajac, D. M. (1990), â€Å"A review and meta-analysis of the antecedents, correlates, and consequences of organizational commitment†, Psychological Bulletin, Vol. 108 No. 2, pp. 171-94. Michotte, A.E. (1963), The Perception of Causality, Russel and Russel, New York, NY. Moscovici, S. (2000), Social Representations: Explorations in Social Psychology, Polity Press, Cambridge. ? ? ? ? Nystedt, L. (1992), Yrkesof? cerares arbetsmiljo i Armen: resultat fran Delstudie 1 om arbetsmiljo, ? ? ? fortidsavgangar och halsa (Work Environment of Army Of? cers: Results from Study 1 on Work Climate, Turnover, and Health), FOA Report C50093-5. 3, Swedish Defence Research Agency (FOA). Parker, C. P. , Baltes, B. B. , Young, S. A. , Huff, J. W. , Altmann, R. A. , Lacost, H. A. and Roberts, J. E. 2003), â€Å"Relationships between psychological climate perceptions and work outcomes: a meta-analytic review†, Journal of Organizational Behavior, Vol. 24 No. 4, pp. 389-416. Pfeffer, J. (1998), The Human Equation, Harvard Business School Press, Boston, MA. Robinson, S. L. and Morrison, W. E. (2000), â€Å"The development of psychological contract breach and violation: a longitudinal study†, Journal of Organizational Behavior, Vol. 21 No. 5, pp. 525-46. Robinson, S. L. , Kraatz, M. S. and Rousseau, D. M. (1994), â€Å"Changing obligations and the psychological contract: a longitudinal study†, Academy of Management Journal, Vol. 37 No. , pp. 137-52. Rousseau, D. M. (1989), â€Å"Psychological and implied contracts in organizations†, Employee Responsibilities and Rights Journal, Vol. 2 No. 2, pp. 121-39. Rousseau, D. M. (2001), â€Å"Schema, promise and mutuality: the building blocks of the psychological contract†, Journal of Occupational and Organizational Psychology, Vol. 74 No. 4, pp. 511-41. Shore, L. M. and Tetrick, L. E. (1994), â€Å"The psychological contract as an explanatory framework in the employment relationship†, in Cooper, C. L. and Rousseau, D. M. (Eds), Trends in Organizational Behavior, Vol. 1, Wiley, Oxford, pp. 91-109. Shore, L. M. and Wayne, S.J. (1993), â€Å"Commitment and employee behavior: comparison of affective commitment and continuance commitment with perce ived organizational support†, Journal of Applied Psychology, Vol. 78 No. 5, pp. 774-80. ? Sjoberg, A. and Sverke, M. (2000), â€Å"The interactive effect of job involvement and organizational commitment on job turnover revisited: a note on the mediating role of turnover intention†, Scandinavian Journal of Psychology, Vol. 41 No. 3, pp. 247-52. Spector, P. E. (1994), â€Å"Using self-report questionnaires in OB research: a comment on the use of a controversial method†, Journal of Organizational Behavior, Vol. 5 No. 5, pp. 385-92. Spector, P. E. (1997), Job Satisfaction: Application, Assessment, Causes and Consequences, Sage, Thousand Oaks, CA. Stratton, P. (1997), â€Å"Attributional coding of interview data: meeting the needs of long-haul passengers†, in Hayes, N. (Ed. ), Doing Qualitative Analysis in Psychology, Psychology Press, Hove, pp. 115-42. ? Sverke, M. and Sjoberg, A. (1994), â€Å"Dual commitment to company and union in Sweden: an examination of predictors and taxonomic split methods†, Economic and Industrial Democracy, Vol. 15 No. 4, pp. 531-64. ? Sverke, M. , Hellgren, J. nd Ohrming, J. (1999), â€Å"Organizational restructuring and health care ? work: a quasi-experimental study†, in Le Blanc, P. M. , Peeters, M. C. W. , Bussing, A. and Schaufeli, W. B. (Eds), Organizational Psychology and Health Care: European Contributions, Rainer Hampp Verlag, Munich, pp. 15-32. Turnley, W. H. and Feldman, D. C. (1999), â€Å"The impact of psychological contract violations on exit, voice, loyalty, and neglect†, Human Relations, Vol. 52 No. 7, pp. 895-922. Van Vuuren, T. , Smulders, P. and Smit, A. (2003), â€Å"Gender differences in absence culture: ? ? n exploratory study†, in Hellgren, J. , Naswall, K. , Sverke, M. and Soderfeldt, M. (Eds), New Organizational Challenges for Human Service Work, Rainer Hampp Verlag, Munich, pp. 175-190). Walsh, J. T. , Taber, T. D. and Beehr, T. A. (1980), â€Å"An integrat ed model of perceived job characteristics†, Organizational Behavior and Human Performance, Vol. 25 No. 2, pp. 252-67. Walters, D. (2002), â€Å"The framework directive†, in Walters, D. (Ed. ), Regulating Health and Safety Management in the European Union. A Study of the Dynamics of Change, P. I. E. – Peter Lang, Brussels.Weiner, B. (1985), â€Å"‘Spontaneous’ causal thinking†, Psychological Bulletin, Vol. 97 No. 1, pp. 74-84. Wright, T. A. and Bonett, D. G. (2007), â€Å"Job satisfaction and psychological well-being as non-additive predictors of workplace turnover†, Journal of Management, Vol. 33 No. 2, pp. 141-60. Corresponding author ? Sara Goransson can be contacted at: [email  protected] su. se To purchase reprints of this article please e-mail: reprint[email  protected] com Or visit our web site for further details: www. emeraldinsight. com/reprints Work-related health attributions 21