Monday, September 30, 2019

Michelangelo showing his religion Essay

Michelangelo painted frescoes on the ceiling of the Sistine Chapel, and made a sculptor of David. Both the painting and the sculptor point to the great deal knowledge Michelangelo has of the Bible. On the Sistine Chapel’s ceiling he painted scenes from the book of Genesis, and David the person comes from the first Book of Samuel. Michelangelo has background with the Christian Church and did many sculptures and painting for the church. The religious influence of the church could not be avoid by Michelangelo. He had been introduced to it very early in his life. Sistine Chapel’s ceiling was a very religious painting job done by Michelangelo. The Sistine’s ceiling shows Michelangelo’s knowledge of Bible events. It has Prophets and Sibyls painted on it, which are very religious figures. It shows the beginning of time to the Flood with Noah’s Great Ark. The sculpture of David was done for Saint Peters Cathedral. It gave new meaning to life for the people of Florence. David was not only thought of as a Messiah by the Old Testament Prophets, but also by the people of Florence. He brought hope as a person and a statue. Michelangelo not only showed that religion was important to him through his works, but also immortalized part of the Bible. Michelangelo showing his religion The Sistine Chapel is one of the most visited places in the world, and the Colossal David is one of the most well-known sculptors in the world. These two great works of art affect whatever people look at them. Without knowing it people get a brush of religion. Michelangelo shows his view of religion to people even after he has died. Michelangelo lived a life of art. From the day he was born to the day he died he lived art. Michelangelo was one of, if not the best sculptor and painter ever to touch foot on this earth. He any painter made a â€Å"shining† in  religious art it was Michelangelo. The Sistine Chapel is located in the Vatican City. This is where Saint Peter’s Basilica was built. The Sistine Chapel was a private room for the Pope. Pope Julius II asked Michelangelo to paint on the ceiling. He almost turned it down because he thought of himself as a sculptor not a painter. He took the painting job on to prove to people that he could paint even though he did not like to do it. Through the works of the Sistine Chapel’s ceiling and the statue David, Michelangelo immortalized his Christian religion. Background: Michelangelo Michelangelo (Figure 1) was born on March 6, 1475 in a town called Caprese, a region of Tuscany, near Florence. Michelangelo’s father was Lodovico Buonarroti Simon, and his mother Francesca Miniato del Sera. Michelangelo’s mother decided to send the baby Michelangelo away to be looked after for a while by a stonecutters wife, because his dad didn’t have a job and his family life was difficult. â€Å"Michelangelo said his love for stone came from the milk of stonecutters wife who nursed him as a baby†(Richmond pg. 24). Michelangelo wanted to be an artist but his father did not agree. When Michelangelo was seven he was sent to a basic school, he was always sneaking off and drawing something. After many long arguments with his father, Michelangelo finally convinced him that sculpturing and block carving are different. Michelangelo was then allowed to study the arts. Michelangelo’s father put him in the workshop of the painter Domenico Girlandaio. After two years Michelangelo studied at a sculpture school in the Medici gardens. He wanted to join a bottega, which is a workshop where young men could learn art with masters. At age 13 he was allowed to join, and shortly thereafter was invited into the household of Loreczo de’ Medici, the Magnificent. Because Michelangelo was so good at sculpting, a fellow student, Pietro Torrigiano, got jealous and punched Michelangelo in the nose , giving him a prize fighters nose that makes him so recognizable in his portraits. When Michelangelo’s talent became known, he no longer paid for the lessons, instead he was paid. â€Å"Michelangelo produced at least two relief sculptures by the time he was sixteen years old, the battle of the features and the Madonna of the stairs†(Gilbert pg.68). This showed that Michelangelo had achieved a personal style at a very early age. Most sculptors have not finished learning about style, let alone have their own style by the age of sixteen. Michelangelo died on February 18, 1564 at almost 90 years old, he was hard at work on a statue. Background: Sistine Chapel Ceiling In 1508 Michelangelo took on the ceiling of the Sistine Chapel (Figure 2) after Julius offered it to him. Michelangelo was annoyed, since he was a sculptor primarily. One reason it was annoying was â€Å"†¦ ceilings in churches and chapels are minor compared to the walls, which in this instance had been frescoed thirty years before by Botticelli, Ghirlandaio, and other distinguished painters†(Gilbert) Ceiling normally did not show scenes, but only a single feature or ornament. To make his work more eloquent Michelangelo got permission to paint scenes on the ceiling as well as single figures. Of course they are awkward to see, but the power and success of the work was so great that for centuries this unreasonable scheme of painting scenes on the ceiling was followed in other buildings without special thought. He had to unmanageably stand on the scaffolding with his head thrown back on his shoulders. â€Å"Michelangelo divided up the area with a very original framing system in order to organize the large scenes, the large single figures retained from the first proposals, and a host of smaller representations.†(Gilbert pg. 90) He choose nine scenes from the Book of Genesis- three of the creation of the world, three of Adam and Eve, and three of Noah-â€Å"†¦ they were inevitable choices, because scenes of Moses had been painted on the walls, and the natural narrative sequence is downward.† The twelve large figures are prophets and sibyls- sibyls being women appearing in various pagan mythologies, such as the Delphis Oracle. Michelangelo started painting at the end of his narrative, with the Noah stories, and the adjacent prophets  and sibyls, then moving with both scenes and figures toward the other end. It is surprisingly little noticed that the first seven prophets and sibyls were painted in one size and the last five in a larger size. All fit nicely into their painted frames, and the inconspicuousness of the change in size is a token of the subtlety of the frames. The change itself has a good artistic reason, which is that the scenes first painted, of Noah and Eve, contain quite a few figures, while those painted later, of god creating the world and man, contain only one or two, they needed to be larger in order to fill the space which was given to him from the framing system. â€Å"The point where the scale of the figures changes is also a point where, it seems, he took a rest for several months†(Levy pg.74). The break did not affect the splendid painting on the ceiling. Religion on the Sistine Chapel Ceiling The religion aspect of the Sistine chapel is overwhelming. It pours out of every crack, from painted over frescoes to sculptures. On the ceiling ,as mentioned above, is painted three scenes of the creation of the world, three scenes of Adam and Eve, and three scenes of Noah and the Flood, along with scared sibyls and prophets. The sibyls and prophets come from the pagan religion which Michelangelo was introduced to by one of his early teachers. The sibyls were interpreted as having made prophesies similar to those of the Old Testament prophets. The scenes on the ceiling come from the book of Genesis, which comes from the Bible. Michelangelo was chosen to paint the Sistine Chapel’s ceiling but he got to pick what he painted, with the approval of the Pope of course. He chose scenes from both the Pagan religion and the Bible, which makes a religious influence evident. Michelangelo was knowlegdable of the Bible, without having knowledge of the bible how could he have known about the specific happenings. Background: David David (Figure 3) was born in 1040 B.C. and became King of Israel. He first  distinguished himself by slaying Goliath. Goliath was a giant born in Gath who Challenged the army of Israel. He was Six cobils and a span tall, which is about 11 feet. David was taken into Saul’s household, the king of Israel. There he became too popular for his own good and had to flee from Saul’s jealously. After the death of Saul’s he was elected king of Judah and reigned for seven and one half years in Hebien. When Ishbosheth, the king after Saul, died, David was chosen by all Israel as king. He conquered Jerusalem and made it the political and religious center of his kingdom. To the Old Testament prophets David became a type of Messiah. The story of David and Goliath comes from the Bible from Book one of Samuel Chapter 17. In verse 46 of that Book David said to Goliath: This day will the Lord deliver thee into mine land; and I will smite thee, and take thine head from thee; and I will give the carcasses of the host of the Philistines this day unto the fouls of the air, and to the wild beasts of the earth; that all the earth may know that their is a God in Israel. The Cathedral asked Michelangelo to sculpted a Colossal David . Michelangelo accepted the offer and guaranteed to complete a Colossal David for the Cathedral in 2 years. Around the chunk of marble he obtained for this feat he built a shed, which was locked at all times. â€Å"He did not launch immediately into the stone as legend had it, making chips fly off violently as he struggled to set free the image he saw within†(Tolnay pg. 41). For many weeks he examined and measured his material to see what pose it could accommodate. He made sketches of possible positions, and carefully detailed drawings from models for the parts of the figure. He tested out his image in wax on a small scale. â€Å"Then, and only then did he pick up a point and a mallet to make the first rough spilters fly clattering to the floor†(Tolnay pg. 42). Although it occupied him nearly three years to complete, it was worth the wait for the people living in Florence. â€Å"Michelangelo phrased his first titan in terms of a civic guardian, symbol of righteousness. None of his later masterpieces so profoundly affected his fellow citizens†(Gilbert pg.82). The author Gilbert writes: In the precision of its anatomy one can recognize the scientific spirit of investigation of the Florentines; in the forms, which are full of strength, and in the noble, proud face, one finds the heroic concept of man as a creature who is free and master of his own destiny(page 85). Technically this statue marked a change in Michelangelo’s development. In a single work he achieved the difficult transition from normal scale to the colossal without a flaw, setting back the chin slightly so that it would not cut off too much of the other features from the spectator’s view, building out the nose and forehead. Religion in David David comes straight from the Bible. In the following lines, from Book one of Samuel, Chapter 17, verses 49 through 51, it tells how David came to slay the giant Goliath: 49 And David put his hand in his bag, and took thence a stone and slang it, and smote the Philistine in his forehead, that the stone sunk into his forehead; and he fell upon his face to the earth 50 So David prevailed over the Philistine with a sling and with a stone, and smote the philistine, and slew him; but there was no sword in the hand of David. 51 Therefore David ran, and stood upon the Philistine, and took his sword, and drew it out of the sheath therefor, and slew him, and out off his head therewith . And when the Philistines saw their champion was dead, they fled. Religion in David is undeniable. He is a part of the Bible therefore a part of religion. A religion which Michelangelo learned about since he was an infant with the stonecutter’s family. David was sculpted having the look of fear, as if the sculptor knew what David was going through at that exact point in the battle with Goliath. The religion Michelangelo shows through David is immense. Conclusion Both the painting of the Sistine Chapel Ceiling and the sculptor of David reflect the knowledge that Michelangelo has of Pagan religion, but mostly of the Bible. Clifton Harby Levy writes: Religion was the supreme interest of the leaders in human thought during this century, when the Church played so large a part in the destiny of nations, and very naturally any and every artist who felt the pulse of his time was impelled to prove his power by the skill with which he presented sacred subjects. Art was religious because the people were religious†¦(page xi). In other words, art could make or break a nation. Michelangelo was trying to make Italy, by giving them the best religious art you could find. In a way the art helped the people survive, fight, and showed them what they could believe in to get away from the agony of living a life of torment. These works illustrated points from the Bible in such a magnificent manner, that they have changed life from the day they were put on display to the present. Religion was, is, and always will be a powerful thing. Works Cited Gilbert, Creighton. Michelangelo On and Off the Sistine Ceiling. New York: George Braziller, 1994. Levy, Clifton Harby. The Bible in Art. New York: Covici Friede, 1936. Richmond, Robin. Introducing Michelangelo. New York: Walker, 1984. Salvini, Roberto. Michelangelo. Connecticut: Masterworks Press, 1976. Tolnay, Charles de. Michelangelo Sculptor-Painter-Architect. London: Princeton University Press, 1975. Works Consulted Bellosi, Luciano. Michelangelo: Painting. New York: Bellview, 1946. Buonarroti, Michelangelo. Michelangelo, the painter. Italy: Harry N. Abrams, Inc., 1964 Chase, Alice Elizabeth. Famous artists of the past. New York : Platt & Munk, 1964. Coughlan, Robert. The world of Michelangelo, 1475-1564. Italy: Time, inc., 1966 Day, Thomas. Where have you gone, Michelangelo? : the loss of soul in Catholic culture. New York : Crossroad, 1993. De Vecchi, Pierluigi. Michelangelo. New York : H. Holt, 1992. Rasponi, Simonetta. Michelangelo. Italy: Avenel Books, 1978. Ripley, Elizabeth Blake. Michelangelo : a biography. New York, Oxford University Press, 1953.

Sunday, September 29, 2019

Educating Rita-Characters Essay

Main characters Rita and Frank are the only two characters whom we see on stage, though other people are referred to by both of them. We hear about Denny, Rita’s husband, about Julia, Frank’s partner, and about Trish, Rita’s flatmate, who attempts to kill herself. But it is Rita and Frank whom the audience gets to know best. Rita: Rita is a working-class, twenty-six-year-old hairdresser who has taken the decisive step of enrolling on a literature course at the Open University. It has been a difficult decision as it means that she has to break away from the restrictions imposed on her by her husband and by the community in which she lives and works. Indeed, Rita’s choice is a stark one: it is between starting a family, which Denny wants, or studying. In deciding to study and become more educated and culturally aware, Rita changes her life completely. She gradually becomes absorbed by culture and literature. It is only after her flatmate attempts suicide that she begins to realise that art and literature cannot provide all the answers. However, she decides to continue as a student and finally passes her examination. Frank: Frank is a university lecturer in English Literature with a drink problem. He has had one failed marriage and his present relationship wit Julia is not an easy one. However, he does appear to have a comfortable middle-class lifestyle and has achieved some minor success as a poet. His job, nevertheless, bores him and, in fact, by the end of the play, he has been sent away to Australia by the university authorities because of his drunken behaviour. Rita breezes into his life like a breath of fresh air; the story of the play is the story of their developing and changing relationships both as teacher and student and on a more personal level.

Saturday, September 28, 2019

Evolution of Business Presentation Essay

The Industrial Revolution Business has gone through several different stages of evolution from feudalism to the industrial revolution. In the following, each stage of business evolution will be examined and explained in detail. FeudalismThe business or economic system in which one class of people, aristocrats, control the property rights to all valuable resources, including people. The Hierarchy of English Aristocrats is indicated to the right of the description of Feudalism. The position in which an individual held was determined by the income they generated. The more income you made, the higher position you held in the hierarchy. The kings and Queens were the highest in rank who controlled everyone and everything that happens in their land. Hierarchy of authorityDating back in the Stone Age, the beginnings of Feudalism were starting to take place. Business has always been the stepping stone to a grand life, rather it be a great nation or corporation. During the time of the stone age, there was a chief who had authority over everyone. There were hunters who hunted wild animals for food to distribute to the tribe or clan. The food gatherers would gather and clean all the food the hunters would bring in. Craftspeople would make clothes and weapons out of the hides and bones of the animals hunted. The priests, shamans, and sages were responsible for providing â€Å"protection† and religious hope. MERCANTILISM Business or economic system in which merchants and bankers organize the trade of products across markets and countries until they are put to their most valued use. Mercantilism existed back in Egyptian times also. It was a huge part of Egypt and it’s economic existence. There was some papyrus records found that described boundless quantities of grain and olive oil being stored in warehouses that extended over several fields in Alexandria, Egypt. These  warehouses were meant for sale abroad. In the time of the Ptolemy dynasty, mercantilism was a godsend. This king of Egypt owed Alexander the Great an abundant amount of money for Egypt being a free country. Along with gold, King Ptolemy would send fields of grain as payment for their freedom. The price of TeaMerchants then and now still make huge amounts of profit by taking advantage of differences in the prices of products in different markets. In the 1600s, tea that was imported from India to Britain cost about $100 a pound in today’s money. It was so expensive that it had to be locked up and taken out with care. Because tea was so expensive, some British communities fought back by dressing up as Native Americans and forcing the tea that was being imported into the ocean. This was called the Boston Tea Party and it helped bring about eh American Revolution. CAPITALISM The economic, business, and political system that allows people to own resources and use them to engage in production, trade, and distribution of goods and services. Capital was and still is a huge part of business. If you didn’t have what you needed, trading and bartering was the way to get it. For example, $100 was your starting capital and you needed to buy ten sacks of corn to create your product. Once you create your product and sold it, you produced more capital to turn around and buy more product. If the business was good then you could have created profit as well. Capital is not just money, it could be anything that creates profit. A piece of land perhaps with the ability to grow corn, raise cattle, etc. When a person grows corn and raises livestock, they could sell it and make an abundance of profit. COMMERCE Commerce is a division of trade or production which deals with the exchange of goods and services from producer to final consumer. Commerce comprises the trading of something of economic value such as goods, services, information or money between two or more entities. It functions as the central mechanism which drives capitalism and certain other economic systems. Commerce can be traced to the very start of communication in prehistoric times. Trading became a principal of prehistoric people who bartered what they had for goods and services from each other. PROPERTY RIGHTS Property rights are the claims by people to own, use, and sell the rights to valuable resources. Unlike now, there were no laws to protect and provide people with a legitimate claim to own and use property. The claim for property rights were a matter of using harsh force to get obtain it. Once you claimed land, you owned everything on it. The diagram shows what property rights and resources are,Land: ownership of the rights to land and the buildings and structures upon it. Capital: Ownership of the rights to financial assets such as stock, bonds, and money. Enterprise: Ownership of the rights to the products of enterprise such as patents and copyrights to products. Labor: Ownership of the rights to ones own labor and the right to work freely. THE INDUSTRIAL REVOLUTION The Industrial Revolution was an era in the 1700 and 1800’s that marked improved production and trade brought about by advances in technology. The Industrial Revolution was a period in which fundamental changes occurred in agriculture, textile and metal manufacture, transportation, economic policies and the social structure in England. It spread through Europe and  the United States. This period is appropriately labeled â€Å"revolution† for its thoroughly destroyed the old manner of doing things. Advances in agricultural techniques and practices resulted in an increased supply of food and raw materials, changes in industrial organization and new technology which cased an increase in production, efficiency and profits, and the increase of commerce, foreign and domestic, were all conditions which promoted the advent of the Industrial Revolution. REFERENCES The McGraw-Hill Companies. (2007). The Evolution of Business. Retrieved August 22, 2008, from The McGraw-Hill Companies, Week Two, BUS210- Foundations of Business Web site. Halsall Paul, (1996). Internet Medieval Sourcebook. . Retrieved August 22, 2008, from http://www.fordham.edu/halsall/sbook1i.html#FeudalismWikipedia. (). Feudalism, Mercantilism, Capitalism, Commerce, Property rights, The Industrial Revolution. Retrieved August 22, 2008, from http://en.wikipedia.org/wiki/Main_PageGoogle.com. (2008). Feudalism, Mercantilism, Capitalism, Commerce, Property rights, The Industrial Revolution. Retrieved August 22, 2008, from www.google.comAbout.com. (2008). Feudalism, Mercantilism, Capitalism, Commerce, Property rights, The Industrial Revolution.. Retrieved August 22, 2008, from www.about.comAsk. (2008). Feudalism, Mercantilism, Capitalism, Commerce, Property rights, The Industrial Revolution. Retrieved August 22, 2008, from www.ask.com

Friday, September 27, 2019

Module 5 Discussion Ed Assignment Example | Topics and Well Written Essays - 250 words

Module 5 Discussion Ed - Assignment Example The author uses simple sentences coupled with vivid description to enhance the comprehension and to sustain readership. He creates realistic suspense that ensures that his audience reads on to completion. Among the numerous captivating sentences in the story is â€Å"he drank as a gut-punched boxer gasps for breath, as a starving dog gobbles food--compulsively, secretly, in pain and trembling† (Russell 1). The sentence summaries the entire story by providing an avid description of the intensity of behavior of the character. When I read the sentence, I developed pity for the character. My reaction was a mixture of both sadness and a heartbreak for the character’s sorry state. The author succeeded in evoking such a reaction through his artistic composition of the sentences. The sentence shows the author’s emotion and his ability to prove the ferocious nature of his father’s love for alcohol. Additionally, the sentence enhances the suspense in the story. The fact that it comes early in the sentence influenced me to read on in order to find out how the conflict

Thursday, September 26, 2019

Baroque and Classic Periods Research Paper Example | Topics and Well Written Essays - 1000 words

Baroque and Classic Periods - Research Paper Example Baroque era saw the transition of music from the traditional to the classical. It was marked with composer expanding the range and size of the instrumental performance. The most prominent composers of the era include Johann Sebastian Bach, Antonio Vivaldi, George Frideric Handel, Arcangelo Corelli, etc. New instrumental playing techniques were developed in this era. Classical era stressed more on the form and symmetry in the arts. The elaborate ornamentation from baroque era gave way to elegance and simplicity in the classical era. The prominent composers of the classical era were Ludwig van Beethoven, Wolfgang Amadeus Mozart, Antonio Salieri, Christoph Willibald Gluck, etc. Following are the six pieces from the two eras that make my list that will be included in the time capsule: Air on a G String Air on a G String is work of Johann Sebastian Bach, not just the greatest composer of his era but one of the greatest composers of all time. This is originally a part of orchestral suite N o. 3 in D major, BWV 1068. A simple composition is a master piece for the fact that it is played only on the G string. The name â€Å"Air on a G string† was derived later in the 19th century when arrangements were made August Wilhelmj to play the original with a piano and violin, and the same name stuck to the original. The expression of ideas and feelings is extraordinary. Rhapsody Link: http://www.rhapsody.com/artist/various-artists/album/bach-for-the-brain-classical-music-to-make-you-smarter/track/air-on-a-g-string. Messiah by Handel Messiah composed by George Fredric Handel is an oratorio. This is one of the best-known works of Handel and one of the most performed Western Music coral works. Handel with numerous compositions defined the Baroque era along with Bach. The beauty of the piece is that it was composed for modest instruments and vocals. There was a deliberate change in direction with this composition as it did not resemble the conventional opera structure. This i s a master piece as it broke away from the conventional style and started a new way. It did not have any direct speech or takes any dramatic form. The main purpose of was to acclaim the â€Å"mystery of Godliness†. Also this makes the list for the time capsule because of its subject: Jesus Christ as the Messiah. Rhapsody Link: http://www.rhapsody.com/artist/george-frideric-handel/album/handel-messiah. â€Å"Spring† from the Concerto series ‘The Four Seasons’ Composed by Antonio Vivaldi, considered to be one of the greatest Baroque composers, â€Å"Spring† is a part of a set of 4 violin concertos. This is considered to be one of the best works of Vivaldi and is a popular piece from the era. It is cast in 3 movements like others in the set. Vivaldi has beautifully depicted scenes and events through this master piece. The music is imaginative and brings the event to life by adding vividry through short sonnets. Prior to Vivaldi, violin was not consider ed as a solo instrument but it was this work that brought violin from the background to the center. The pictorial depiction of spring season is an example of Vivaldi’s genius. In the first movement, the coming of the spring season is glorified while in the second movement we hear continuous barking of the shepherd’s dog. Rhapsody Link: http://www.rhapsody.com/artist/various-artists/album/classical-moods---100-top-classical-favorites-of-all-time-big-eye-music/track/spring-from-the-four-seasons---violin-concerto-in-e-major. Concerto for Flute and

Discuss the relationship between the design of religious architecture Essay

Discuss the relationship between the design of religious architecture and the interests and requirements of the religious tradit - Essay Example This paper will provide more insight into this analogy through discussing four historical religious architectures: the Altar of Zeus, Egyptian pyramids, Suleymaniye Mosque and St. Peter’s Basilica. The Altar of Zeus was created by ancient Greeks, Egyptian pyramids were erected by ancient Egyptians, Suleymaniye Mosque was developed by Muslims and St. Peter’s Basilica was designed by Romans. The Altar of Zeus provides a good Hellenistic Greek sculpture example, which was built between 166 and 156 BCE. The altar is crafted with art and sculpture, which depicts narrations. The Gigantochamy frieze, which adorns the base of the altar, has at least 100 distinct panels that show combats between gods and giants. Here, one connects with the Greek legend where Zaas decided to abandon Gaia’s after the new gods (led by Zeus and in support by Zaas) defeated the old gods (led by Cronus). The East Frieze sculpture, on the other hand, constitutes significant Olympic gods such as Hecate, Artemis, Zeus, Athena and Ares. In the same way, the north, south and west frieze sculptures continue with sculptural and relief narrations of various Greek gods.1 The altar, also known as the Altar of Pergamon, stands at 115 feet in width and 110 feet in depth. The altar was accessible through a stairway, from the west, which led up to a roofed hall extending to the front and sides of the altar. This altar is very important to the people, who regard it highly and it’s highly respected. It has been in existence for quite a long time and many people have high regard for the altar. Due to this fact, the altar of Pergamon is well preserved and taken care of. Ancient Egyptian pyramids held similar themes in architectural designs. The pyramids were erected on the west bank of the River Nile. This was in accordance with Egypt’s religious doctrine which stated that the dead should rest where the sun sets.2 In addition, most pyramids were covered with limestone, which was meant to give them a shiny appearance from a distance. Despite the fact that the pyramids were designed as tombstones for prominent persons such as kings and queens, they were embalmed with religious material. Outstandingly, the pyramids were meant to purify bodies in wait for the afterlife. Within the pyramids were sculptures, paintings and carvings, which portrayed spirituality. In addition, there were illustrations upon the tomb walls, also known as the Book of the Dead, which were meant to guide the deceased in their atonement of sins in preparation for the afterlife. The pyramids also consisted of airways and tunnels, which served to prevent decomposition. The Suleymaniye Mosque was named after Sultan Suleyman who requested it to be built after the Sehzade Mosque was not deemed as satisfactory. Sinan had built the Sehzade Mosque to commemorate the death of Prince Mehmed who had died of smallpox. The Suleymaniye Mosque was completed in 1557 and was of remarkable interior spa ce, height and intricate detail.3 The mosque consisted of four lengthy and thin minarets and a dome, which had a height of over 50 meters. Surrounding the mosque was a kulliye comprising of public baths, schools for teaching Quran, Hadith and primary school children, library, soup kitchen and a hospital. The public baths were situated near the entrance of the mosque since Muslims would take off their shoes before

Wednesday, September 25, 2019

Oregon Death and Dignity Act Essay Example | Topics and Well Written Essays - 1000 words

Oregon Death and Dignity Act - Essay Example The debate centers on individual autonomy, whether or not patients who suffer from extreme pain and have a terminal or degenerative disease such as Alzheimer’s, AIDS and multiple sclerosis have the right to an assisted death of the type and time of their own choosing. â€Å"Active euthanasia occurs when the medical professionals, or another person, deliberately do something that causes the patient to die† (â€Å"Ethics†, 2006) A doctor’s involvement in the procedure could be to either prescribe a lethal dose of drugs with the express intent of ending a life or by intravenously inserting a needle into the terminal patient who then activates a switch that administers the fatal dose (Naji et al, 2005). Many terminally ill people choose to end their own life to evade the previously discussed detriments of a terminal illness. Suicide rates are by far the highest among the elderly population for this reason. â€Å"If these people are going to commit suicide, which is better, controlled, compassionate doctor-assisted suicide or clumsy attempts like taking sleeping pills, jumping off a building, or firing a bullet into ones head?† (Messerli, 2007). Only one state, Oregon, and three countries, Switzerland, Belgium and The Netherlands, allow assisted suicide. The law in Oregon was challenged in the U.S. Supreme Court early last year and was upheld by a vote of six to three. In 2001, President Bush attempted to derail the Oregon law permitting euthanasia stating that assisted suicide wasn’t a ‘legitimate medical purpose.’ The justices, however, were not convinced by Bush’s argument. â€Å"Justice Sandra Day O’Connor pointed out that doctors participate in the administration of lethal injections to death row inmates† (Roh, 2006). The Oregon laws are shaped after those in the Netherlands and are designed to ensure second opinions have been consulted and there is an imminent presumption of death

Tuesday, September 24, 2019

Management research project Essay Example | Topics and Well Written Essays - 5250 words

Management research project - Essay Example It will apply those topics to see how it can help a working manager to improve his managerial abilities. The international courier and goods transportation company, DHL Global Forwarding will be used as an example in this study. The definition given in the previous section shows that human behavior is influenced by the nature of the structure or organization he works in as well as the cultural diversity that may occur there. Organized working has been in existence for a very long time even though no formal studies have been known to be conducted with regard to human behavior within such organization. An example of ancient and large organized working could be the building of the great pyramids of Egypt. Formal studies of human behavior in an organization originated only during the late 1800's and early 1900's. One of the pioneers of this science was Frederick Taylor who pioneered the principles of scientific management. But Taylor only focused on improving performance in the workplace and not on the social and emotional needs of workers. He focused on breaking down of a task into smaller observable units so that speed and productivity could be increased. It was to his credit that he took into account better payment, fatigue, shorter working hours etc. in his efforts to increase productivity and employee morale. But in all other respects he equated workers to machines which brought about deep frustration within the working class. "Nevertheless, the industrial engineer with his stop watch and clip-board, standing over you measuring each little part of the job and one's movements became a hated figure and lead to much sabotage and group resistance." (Wertheim). More humanistic thinkers bought the human element into the picture and more importance was given to organizational behavior. It was the Western Electric Study more popularly known as the Hawthorne Experiments that bought about an awareness of group behavior. The study which was originally about work performance and working environment also revealed the sociological and psychological factors that exist in a group as well as the individuals in the group. Another theory by Douglas McGregor called Theory X and Theory Y pointed out the assumptions of managers about worker perceptions and the perceptions of the workers themselves. The former was called Theory X and the latter was called Theory Y and it was pointed out by McGregor that both the theories were contradictory to each other. Manger perceptions of workers include inherent distaste of employees towards work, lack of ambition and creativity, lack of problem solving ability and the need for close supervision. But the most inaccurate assumption was that workers were motivated only by physiological factors and security. Theory Y on the other hand contends that in the right environment, people enjoy work, self-control is more effective than close supervision and that employees are creative. It also says that they are motivated due to affiliation, self-esteem and self-actualization. The development of the systems theories during the 1970's and the contingency theories in the 1980's paved the way for further studies into organizational behavior. Organizational Behavior: Organizational behavior is not a subject by itself, but is in fact a combination of four other social sciences namely psychology, sociology, social psychology and anthropology

Monday, September 23, 2019

Short report about living wall Essay Example | Topics and Well Written Essays - 1000 words

Short report about living wall - Essay Example Aside from the well-known Canadian Universities such as Waterloo and Queens, there are other Canadian installations of living walls. There are also a plethora of cost and environmental benefits to Nova Insurance, as well as physical and mental health benefits to its employees and clients. Loose walls are not recommended for Nova Insurance, as the plants are grown in the same manner as most house plants. They are in a pot of soil, which requires periodic replenishment and creates an untidy look that is also difficult to maintain in a public setting. Mat systems are created of a cork fibre or felt matting. This method will only support mature plant growth up to five years before reparation is required. This system requires constant irrigation as it is unable to hold water like loose media. This will create an additional cost requirement, as a hydroponics system is required. Structural systems are akin to a block type of system, which can be created in a plethora of sizes, thicknesses and shapes. This is the most recommended media, as they do not require renovation for up to 15 years. This type of system is most readily adaptable to architectural requirements of Nova Insurance, as well as most easily maintained and replaced as necessary. This system offers the highest longevity and performance among the three media. Overall, the structural media is often the most expensive to install initially, however, its maintenance cost is the lowest; longevity is the highest and the most vigorous in growth to achieve second floor expansion. Among varying universities across Canada, there are several other installations of living walls. One such installation is located in Richmond, BC at Vancouver International Airport. This living wall is both interior and exterior. This living wall was designed not only to be aesthetically pleasing, but also to assist the environment through

Sunday, September 22, 2019

How To Start Palm Readings Essay Example for Free

How To Start Palm Readings Essay Demonstrative Outline by Daphne Lufkin How To Start Palm Readings Topic: How to read palmsGeneral Purpose: To inform and demonstrate Specific Purpose: To inform my audience about how the palm reading started palm and to demonstrate how you can predict someone future by following the steps of palm reading. I. Introduction: A. Attention-getter: Do we hold the secrets of our past, present, and future in the palms of our hands? Are those mysterious lines traced on our hands the blueprint of our character, our fortune, and our destiny? Just like the fortune tellers heres how to gain insight just by holding someones hand. B. Thesis Statement: The lines on your palm speak a language that spins the story of the past and the future; almost like a map saying where youve been and which way youre headed. Believe it or not, palm readers analyze your palm so they can inform you about your life, the past, present and future. C. Preview of Main Points: The art of palm reading has a history that can go far back as the greek world. It is practiced all over the world and the examined in varies different ways in order to predict the future of an individual. Fortunetellers, or palm readers, believe that the lines and patterns in an individuals hand, if read properly, can reveal events of the person. Apart from the lines, there are various other factors taken into consideration in palm reading, such as the hands shape, the shape and length of the fingers, how flexible the fingers and hands are, the thumbs position, the mounts, which are interpreted by their relative sizes and the intersections on them, and other qualities. Transition: IIBody I: A. Main Point 1 The ancient art of palm reading, also called palmistry or hiromancy, dates back thousands of years. Prehistoric caves in Spain and France have hands drawn on their walls with all the major lines shown in amazing detail. Cultures around the world have been turning to the fine art of palmistry for hundreds of years in an attempt to unlock the mysteries of the cosmos Palm reading, otherwise known as palmistry or chiromancy, is practiced all over the world, with roots in Indian astrolog y and gypsy fortune-tellingalmistry or palm reading, also known as chiromancy, comes from the Greek words, kheiros, which means hand, and manteia which means oracle, divination. The history of Palmisty originated in India, and later moved on to China, Egypt, and ancient Greece, gathering many different variations. Palmistry (also known as chiromancy) is the art of reading a persons palms in order to gain insight on certain personality traits and life experiences. Some claim that the ever-changing lines on our hands also provide a glimpse at our futures, There are specific palmistry schools that provide training courses for the same. Any individual interested in palmistry can enroll in the programs and learn how to read palms. However, learning how to palm read yourself for entertainment requires no specific skills. All you need is a little patience to read the palm reading basics and understand them 1. Supporting Point: In a book named Physiognomy Palmistry, Pythagoras, the ancient Greek mathematician, traces the history of palmistry back to 497 B. C. 2. Supporting Point: 3. Supporting Point: Transition: According to palmistry, hidden facts about life can be revealed with the help of palm reading. Each of the palm lines have a significant meaning of their own. III. Body II:. A. Main Point 2: A palm reader starts with the obvious and carries on via innumerous intricate steps of interpretation and judgment, to minute details. The conclusions that are made are not about certainty, but of the tendency or probability. A practitioner of palmistry usually starts by studying both hands; if you are a right-handed person your left hand is thought to be the birth hand, which reveals character predispositions that are inherited, while the right hand is considered as reflecting individuality, potential, and flexibility. For left-handed people, its the other way round. Here is a general explanation of the various types of hands, according to palmistry: So, which of the hands must you look at if you want to find out? Each hand tells a different story. There is an active hand and a dormant hand Traditionally, most palmists have advocated examining the left hand of women and the right hand of men. However, this approach will only give you half of the story of your volunteer’s life. Instead of limiting yourself to just one hand, take a closer look at both hands to see what deep secrets can be revealed. Many modern palmists now believe that a person’s non-dominant hand will show you their personality and proclivities, while their dominant hand will show you how they have applied their talents and ambitions in life. By using both hands when you read palms you can see where your volunteer has been and where they’re going to go. In palm reading, According to Chinese palm reading, the left hand is used for men below 30 years old; while for women below 30 years old, the right hand is referred for palm reading. The Hands Lean and firm hands indicate that the person is very economical. †¢Firm and strong hands mean that the individual has a dependable character. †¢If the palms of the hands are cupped deeply, it usually is indicative that the person will not be good in business. †¢A flabby and soft hand is a sign that the person likes an easy life. For females, the right hand is what youre born with, and left is what youve accumulated throughout your life For mal e, the left hand is what youre born with, and right is what youve accumulated throughout your life. Your dominant hand represents changes and developments in your talents and personality the right side represents individual talent and personality; The active hand represents how you will be able to change your life and your future Your weak hand tells you about your natural personality, the traits you were born with. while the left side indicates potentiality. the dormant hand denotes your inherent qualities and hidden potential by ways of genetics or those which are hereditary. Size: A person with large hands is somebody who would think first and then act while a person with small hands is more active and impulsive and thinks a lot less. The texture of the hand is also a key to the persona of the person. This has to be observed for both, the back and front of the hand or palm. A soft textured hand shows sensitivity and refinement. A coarse textured hand will depict a coarse nature. Calluses will show that the person is either a hardworking person or has a job where he has to work with his hands a lot. Note the texture of the hand, front and back. Soft hands signify sensitivity and refinement, while rough hands signifies a coarse temperament Flexibility of the Thumb: If the persons thumb is flexible to a certain extend, it would mean that he/she is quite accommodating, easy-going and adaptable, while people with more rigid thumbs are pretty obstinate. The flexibility of the hand shows the adjustable nature of the person. The more flexible the hand, the more adjusting his nature is. On the contrary, if the hand is stiff, the person has a rigid personality. People whose fingers can be very easily bent back (90 degrees to the palm) are pushovers. This is also an important aspect to consider in palm reading. The shape of the nails also gives us an insight into the personality traits of the person. Long nails which taper at the tips show creativity; while square nails show orderliness. The color of the hands shows the nature of blood circulation in the persons body. A pinkish colored hand, therefore, shows a healthy individual. Yellow denotes excessive bile production. Blue color shows a circulation problem. 1. Supporting Point: For instance, if youre right-handed then your right hand is the active hand and left hand is the dormant one. And if youre left-handed, its vice versa 2Supporting Point: 3. Supporting Point: Transition: It is a mysterious occurrence that the lines on our palms happen to depict the small and large changes in our lives. These lines are also constantly forming, changing, and disappearing. These lines have fascinated mankind for ages IV. BODY IV: , Palmistry with Mounts A. Main Point 3: The study of palmistry includes deciphering the meaning of lines on the palms. Apart from these lines, there are various mounts on the hand, which stand for certain qualities. These are also important, as are the lines that are on or emerge from these mounts. T he palm mounts are the little mounds of flesh that raise out of the palm (like at the base of each finger. ) The Institute of Palmistry says that mounts are representative of various types of brain activity The mounts are indicative of many traits including ambition, artistic appreciation, courage, and imagination among many others . Texture, firmness, and size are a factor in analyzing mounts 1. Apart from the lines, the texture of the palm, the color, flexibility, shape and size of fingers and nails, etc. also tell a lot about the persons nature Here is some general information about these mounts. 2. SP1: The Mount of Jupiter The mount at the base of the index finger is the Mount of Jupiter and it denotes ambition, leadership, religion, and love of nature. 3. SP2: The Mount of Saturn The mount at the base of the second finger is known as the Mount of Saturn, and it denotes soberness, wisdom, sadne ss, and balance. 2. SP3: The Mount of Sun The mount at the base of the ring finger is known as the Mount of Apollo. It denotes brilliance, artistic tendencies, happiness and success.

Saturday, September 21, 2019

The European Union As A Military Power Politics Essay

The European Union As A Military Power Politics Essay Matter of security in Europe and security of Europe has always been at stake. According to Hanspeter Neuhold security is the preservation or protection of essential values overtime, now and in the future He stresses that no total security is possible, but rather what matters is an effectiveness of protection of values. Systems established in Europe so far are serving to the aim of effectiveness for now and in the future  [2]  . Yet, varying conceptualization of EU as a power can be met in ongoing discussions among scholars and experts. Besides defining EU as a normative and civilian power, in conceptualization of the EUs role in the international arena certain experts also argue that the EU is a military power.  [3]  For instance Hedley Bull referring to the debate on civilian vs. military power dismissed the idea of civilian power, naming it as a contradiction in terms. He argues that the capabilities of powers in the international system are rather defined by their military resources. His vision of the Community is that to become more self-sufficient in defense and security, among other things, it needs to improve its conventional forces.  [4]  However, others believe that although the military capabilities of the EU are increasing, the role of the EU in the international arena can hardly be identified as a military power. The formulation of norms and objectives of a civilian power are accompanied by cooperation in the military area and a step-by-step strengthening of the military (defense) capabilities o f the EU.  [5]  Yet, whether and to what extent the Union will use its military capacities to defend and promote its civilian and normative objectives need to be discussed in the light of the provision of the respective framework and institutions. This paper attempts to add a point of view in the discussion of the definition EU as a military power. It has an aim to look at the development of the EUs military capabilities and their functional purpose in order to present authors standpoint on the issue at stake. The author believes that in order to define the presence of military power in EU one has to analyze the nature of its military capabilities and their applications. It is also believed that up-to-date conceptualization of the term military power has not been well developed by scholars of the field and hence suggests theoretical vagueness in the definition itself. First section of the paper will look at the origins of formation of the EUs military capabilities in order to define the original nature of the EU military capabilities. Second chapter scrutinizes the political path of development of CFSP in the light of formation of the EUs military forces. Going beyond analysis of historical and political developments, third section of the paper tries to define current features of the EU that largely influence the security and defense policies lead and accordingly the use of military forces by the EU. In the conclusion the author proposes a conditional response to the main questions of the paper is EU a military power? Section I Political path of development of European Defense Policy One of the websites providing the viewpoint of scholars and politicians on the EUs role in the world provided that the Union has been called an emerging superpower by many academics. Scholars and academics like T.R. Reid, Andrew Reding, Mark Leonard, Jeremy Rifkin, John McCormick, and some politicians like Romano Prodi and Tony Blair either believe that the EU is, or will become, a superpower in the 21st century. According to David Miliband, UK Secretary of State for Foreign and Commonwealth Affairs, however, the EU is not and never will be a superpower according to David Miliband.  [6]  Lacking a unified foreign policy and with an inability to project military power worldwide, the EU lacks the substance of superpower, who by definition have first of all military reach and possess the capacity to arrive quickly anywhere with troops that can impose their governments will.  [7]   Theoretical conceptualization of the EUs role in the international arena offered by scholars proposes three main dimensions: EU as normative power, EU as civilian power and EU is military power. From the first glance of debates and argument suggested one can assume that EU is largely defined as a normative power the force that is able to promote transformation of norms in the international system. Second popular definition in the debates is EU as civilian power the power that has rather civilian means and economic weight in the international arena and may influence the course of development by this means. This way EU as a military power stands on the third place in row of these three definitions, though it should to be recognized that in the debate of recent years this third definition was placed more often in the centre of discussions. Hedley Bull, Franà §ois Duchà ªne, Kenneth Twitchett, Hanns Maull, Karen Smith and Ian Manners are some of prominent authors involved in this deb ate. Although the end of Cold War was defined by some scholars as the end of hard power politics in international arena and the end of militarization of the international relations, the reality was different. Militarization of the international relations did not stop after the Cold War and the conflicts emerged in post-Soviet world did not reduce in number. The US, Russia, China had the same level of military budget and increased involvement in conflict zones worldwide. First and second Gulf wars, War in Yugoslavia and brutal conflicts in Africa demanded the same level of military capabilities from the international community. So was the reality in terms of militarization in Europe. The continent, that became stronger and survived from self-destruction after the WW II thanks to the economic integration and strengthening of its potential as a civilian power, had another additional focus in its development in post-Cold War period. Since TEU and Maastricht the course of development of defens e and security policies became one of the main priorities. After the war in Yugoslavia that proved inability of Europe to respond to crisis in its territory, this dimension of the EUs potential building was further strengthened. And this is the reason why today scholars question the civilian nature of the EU and bring a notion on military power in the person of the EU. From the perspective of theories of international relations the notions of military power are often defined in the realist and neo-realist accounts that were explaining the world of power politics and post WW II realities. However, as Ian Manners mentioned, traditions of just war and humanitarian intervention may alter these theoretical foundations in the post-Cold War international system. The same way, the notions of military power may need amendments to their conventional frames. In the scope of understanding of EUs role in the international arena we would like to refer for the purpose of this paper to the notion of military power that is given by Ian Manners. He argues that normative power should be differentiated from military power by the extent to which conflict conciliation processes are at work, i.e. whether these are through military actions or through changing the structures of conflict. Empirically, these two approaches can be differentiated in terms of whether conflict i s resolved through longer-term conciliation of the parties (i.e. changing the norm of conflict), or through shorter-term intervention in the conflict (i.e. changing the conflict itself).  [8]  Hence, given the nature of emergence and currents of EU military capabilities, we assume that defining the military power of the EU in terms of application of is military forces in the conflict reconciliation processes is one of possible ways of looking at the EUs nature as a possible military power. For developing this understanding it is crucial to see how EUs military capabilities have been developed and to what end they are aimed to be applied. Today the political cooperation in the framework of the EU is reflected in Common Foreign and Security Policy (CFSP), which covers two main fields of cooperation foreign policy and security. However, the history of political union in Europe brought to formation of CFSP is much broader. To understand the development of CFSP one can divide the path of European political cooperation into two stages: 1. Stage of initial Political Union: European Defense Community and European Political Community; 2. Stage of foundation of CFSP and its functional mechanism 1. Stage of initial Political Union: European Defense Community and European Political Community The history of political unification of the community goes back to 50th, when immediately after initiation of the integration process in the framework of ECCS the idea of establishment of European Defense Community (EDC) came to the agenda (1952). In 1952 the Treaty on EDC was concluded. According to number of authors, most interesting part of the EDC was the consent of states to create European army under the control of supranational organization, which meant reducing of sovereignty and independence of the Community members. According to the Treaty EDC were to be subdivided into homogeneous national units with Community status  [9]  . Nevertheless, the role of NATO in this consideration was not excluded and was thought to have key role in providing security and defense in the continent. Yet, the Treaty failed because of the French parliaments position in 1954. At the same time, this Treaty also entitled the Assembly of ECSC to investigate possibilities for European Political Com munity. Draft treaty for the foundation of European Political Community (EPC) was elaborated, with the invitation of Council of Ministers by Consultative Assembly, after the Luxemburg decision of September 10, 1952.  [10]  EPC, designed in the manner of todays European Union, provided the process of integration with quasi-constitutional basis  [11]  . Art.5 of the Draft Treaty embodying the Statute of the European Community with strict language set that existing institutions shall constitute a single legal entity.  [12]  Being a legal entity means possession of personality. This part of the Statute differentiated EPC from the EU which lacks the legal personality today.  [13]  The community to be established would deepen the process of integration and meant that the founding idea has been reached. Yet, formal achievement of the goal failed again, due to resistance of France. Nonetheless, since then the idea of political integration was reconsidered for several times. Although in 1960 reconsideration by Fouchet Plan was unsuccessful and had no vivid results, in 1970 as the consequence of the suggestions made by Davignon Committee the idea was revived in the form of the institutionalized procedure  [14]  . These suggestions promoted intensification of cooperation in one of the key fields of political integration, namely f oreign affairs. This was the beginning of next stage European Political Cooperation (EPC). Formalization of EPC was realized by signature of Single European Act in 1986 in Luxembourg, art. 30 of which obliges states to inform and consult each other on foreign policy matters.  [15]  This was the first serious step towards the formalization of the EPC. In general, the Single European Act made EPC part of the integration, resulting in revival of political integration in very soft manner and including it at later stages into the Treaty of Maastricht under the title of Common Foreign and Security Policy. This way political cooperation was broadened with security issues and hence majority of decisions were possible in this field as well. To sum up this brief account, we can conclude that that the ancestors of CFSP were EDC, EPC and political cooperation. Two draft Treaties, respectively, on EDC and EPC, contained the part of legal history of CFSP. In the field of legalization a breakthrough took place in July 1987 with Single European Act entering into force. One interesting point in this process is that EDC was talking about the army and putting the Treaty itself under the jurisdiction of ECJ. Yet, it could not be done 40 years later by CFSP. Section II CFSP ERRF a new phase towards political union or a path of being a military power? 2. Stage of foundation of CFSP and its functional mechanism Second phase started with making special emphasis on foreign policy development and closer cooperation in this field during the Maastricht Treaty negotiations. Consequently, in the Treaty of European Union (TEU) the CFSP was included as the second pillar of the EU. TEU called for member states to consult on any matter of foreign and security policy of general interest in order to determine a common approach and provided that Member states shall ensure, through the convergence of their actions, that the Union is able to assert its interests and values on the international scene.  [16]  Moreover, the Maastricht Treaty made provisions for using the Western European Union (WEU) as the military arm of the EUs new Common Foreign and Security Policy (CFSP), and declared that the CFSP would include the eventual framing of a common defence policy, which might in time lead to a common defense (Article J.4.1).  [17]  However, after the inclusion of CFSP into the TEU for some time there was a period of silence and no actions in practice were taken, though Europe was witnessing conflicts in its territories and its neighborhood. The main message was that the CFSP was established to address the issues of security on the whole continent. Yet, in the period of silence the general goals set in Petersberg in 1992 were not much realized in practice. During the time from 1992 to 1998 the whole process was characterized with inaction. Then the central question of debates suggested that though the name given to it was common security and foreign policy, the issue causing problems was defense. But, in this light there was and still is an existing guarantor of defense in Europe NATO. Article 24 (ex article 11 of TEU) of the consolidated version of TEU addressing defense implications of CFSP mentions that CFSP shall include the progressive framing of defense policy, which might led to common defense.  [18]  . Yet the TEU in another paragraph provides that the policy of the Union in accordance with this Article shall not prejudice the specific character of the security and defense policy of certain Member States and shall respect the obligations of certain Member States, which see their common defense realized in the North Atlantic Treaty Organization (NATO), under the North Atlantic Treaty and be compatible with the common security and defense policy established within that framework.  [19]  This paragraph of the TEU illustrates that the document recognizes and to the extent states priority of NATO over CFSP in providing defense and security in Europe. Nonetheless, it was believed that to defend Europe through CFSP required formation of military forces. At the same time, although (1) humanitarian and rescue tasks; (2) peacekeeping tasks; (3) tasks of combat forces in crisis management, including peacemaking were defined as the tasks for military troops by Petersberg Tasks  [20]  , TEU did not have a specific provision on formation of possible armed forces of the Union. Hence, the only instrument was summits of heads of states that could be concluded with decisive and concrete declaration on this matter and so provide steps forward in this direction. In the result of lengthy debates on granting Europe autonomy in the military and defense matters, in 1998 heads of states of Britain and France met in St-Malo. This summit can be outlined as one of those that played a decisive role in drawing the principles of future activities under Title V of TEU. As the result of the British-French Summit, well known St-Malo declaration was adopted. This declaration recognized .the capacity of autonomous action, backed up by credible military forces and stated that military forces should be supported by a strong and competitive European defense industry and technology.  [21]  But this proposed autonomy was rather restricted by the power of NATO. Declaration also provided: Europe can make its voice heard in world affairs, while acting in conformity with our respective obligations in NATO   [22]  This became another statement providing that NATO would have priority in maintaining security and leading defense policy in the continent. On the other hand, circumstantial factors have been significantly influencing the path of development of the EUs own military capabilities. Particularly the war in Yugoslavia became one of the key influencing factors. After the so called humanitarian intervention was realized in Yugoslavia by NATO forces, Europe, facing its own inability to take action for conflict prevention in its territory, started elaborations on possible implementation of Petersberg tasks and particularly principles of St-Malo Declaration. We may assume that in this elaborations NATO was perceived by the EU as a competitor, although its role in providing European security has been central for more then 50 years. Nonetheless, it was definitive that CSFP could not take the place of NATO in the matters on its competence. One of the first steps forward in this path was Cologne Summit in June of 1999. Cologne European Council in its Declaration on strengthening the common European policy on security and defense decided that to this end, the Union must have the capacity for autonomous action, backed up by credible military forces, the means to decide to use them, and a readiness to do so, in order to respond to international crises.  [23]  Moreover, decision of the Summit gave a mandate to European Council to strengthen the CFSP. In its Declaration on strengthening the common European policy on security and defense, the Cologne European Council agreed to transfer from Western European Union (WEU) to the European Union (EU) the responsibility of decision-making and the capacity for action in the area of the Petersberg tasks.  [24]  Underlying the need for military forces, Cologne Declaration also identified main features of future activities as deployability, sustainability, interoperability, fle xibility and mobility  [25]  . Yet two aspects of the overall message of the Declaration were particularly significant for the issue of our discussion. Firstly, it did not necessarily specify military forces as a common army of the Union as it is conventionally understood. Secondly, it determined that the Atlantic Alliance remains as a foundation of the collective defense of its members, thus excluding determination of NATO as a foundation of collective defense of Europe. By this point the EU has shaped its attitude to NATO in terms of using its military capabilities, declaring that communities defense is not provided by NATO, which ensures rather defense of its members. Cologne in the result became one of the key EU council meetings that according to Bono Giovanno was an expression of desire of the EU to develop military and civilian capabilities to project its power regionally and globally, potentially autonomous from NATO  [26]  . Next important shaping Summit was the Helsinki Council of 10-11 December 1999. By its declaration the Helsinki Council agreed that the objective for the Union was to have an autonomous capacity to take decisions, and where NATO as a whole is not engaged to launch EU-led military operations in response to international crisis.  [27]  It introduced Political and Security Committee as an institution. Moreover, it created Military Committee as a supporting unit for Political and Security Council. Also it was in Helsinki that the post of High Representative for CFSP had been introduced. Furthermore, if in St-Malo and Cologne the intention of capable military forces were resolved with final documents, Helsinki meeting drew schema for the military forces including contingent, size and minimum period of sustainability naming it European Rapid Reaction Forces.  [28]  Generally, it was concluded that the formation of forces will need to be accomplished in 2003. This way, Cologne and He lsinki Conclusions laid first stones to the foundation of ESDP and to the formation of European Military Forces. Yet, although commitment on establishment of ERRF and ESDP was clearly made in the results of St-Malo, Cologne and Helsinki, the autonomy of the EU military capability could not be fully established. Already in one of the next meetings in Feira in June 2000 it was again declared that Council should establish a framework of cooperation with NATO. Feira Declaration mentioned that, Council has identified the principles on the basis which consultation and cooperation with NATO should be developed  [29]  . This was certainly connected to the fact that EU members had already military commitments as NATO members with the organization that is supposed to provide European defense. However, in general, the processes outlined above through the row of summits illustrate that EU was determined to take measures for implementation of Petersberg tasks and to form the autonomous military forces to respond to emergency and crisis situations in its territory and neighborhood. So, at later stages in the framework of Capabilities Commitment Conference (CCC) the EU identified details of functional mechanism of its military forces, where the clear picture of ERRF had been drawn. On 20-21 November at CCC in Brussels, states agreed to 100 000 persons and approximately 400 combat aircraft and 100 vessels, though the question was still whether this was a real army of the Union.  [30]   Interestingly enough answer to this question was given in European Council in Nice in December 2000. Declaration of this meeting declared that the European Union will be able to carry out the full range of Petersberg tasks which does not involve the establishment of European army.  [31]  Thus, it was announced that the EU military forces are not an army, but rather an ad hoc forces that are aimed to address concrete missions and respond to crisis situations. Firstly ad hoc forces were established and brought in action in 2003, when NATO forces were replaced by ERRF in Macedonia, which became the first military deployment of EU forces.  [32]   Further development in establishment of EU military forces was formation of Battle Groups based on the adopted headline goals 2010 in 2004. The decision taken created the EU Battle Groups whose duty was to provide rapid reaction in emergency situations within 5 days and to complete missions of at least 30 days with a maximum number of 1,500 men.  [33]  It is argued that the need is defined by Unions willingness to lead more than one crisis management operation simultaneously. In the result Battle Groups became an additional part of the EU military forces, but did not still transfer the EU military capabilities into EUs army. Nonetheless, following the establishment of ERRF and Battle groups the ESDP missions deployed after 2004 became illustration of the EUs ability to accommodate the goals defined in the TEU (under Petersberg Tasks) and take quick actions in response to emergency situation in the high military level. As former EU HR for the Common Security and Foreign Policy Javier Solana underlined in one of his remarks by above-mentioned actions the EU has proved the credibility of its military capability on the ground in Africa, in Congo and Chad and now is proving it everyday in the difficult waters off Somalia.  [34]   Thus, we can assume that, all in all crisis management operations, originally described as one of the areas covered by the Petersberg Tasks, have been identified in the result of dynamic and stable cooperation since 1998 as the area in which the EU military forces found their main occupation and effective usage. Originally described in Amsterdam Treaty in 1997, crisis management mandate was confirmed in the Treaty of Nice (2000), elaborated later in rather wider detail in the European Strategy Security (ESS) in 2003 and, finally, recognized in the Lisbon Treaty (2007).  [35]   Two general conclusions can be drawn based on the above outlined process of formation of the EUs military capabilities. Firstly, formation of EU CFSP and its own military forces (ERRF and Battle Groups) have been successful due to stable and structured cooperation intensified in 1998 that, at the same time, have had influence of certain circumstantial factors triggered by the realities of post-Cold War international system. Secondly, in the process of establishment of EU military capabilities NATO has still been viewed as a strong competitor that made the Union to form its own potential taking always into account the presence of already existing military alliance. This way, the process of formation of EUs military capabilities has been accompanied by certain institutional and political restrictions that have shaped the CFSP and its up-to-date functional mechanism (ESDP). Section III Purpose, unanimity and global dimension of the EU security policies If the above brought paragraphs demonstrate that in the result of stabile and structure cooperation the path towards strengthening political union ended in the direction of establishing own military forces of the Union, thus making the EU stronger in terms of common policy in security and defense dimensions, the question that occurs is whether this development sufficient for defining the EU as a military power. There is no doubt that the emergence of ERRF as a functional mechanism of EU common security and defense policy significantly extended the political competence of the EU as a Union of states. Yet it could not provide the EU with full capacity of being unitary actor in terms of its defense policy and military capacities. Several aspects deserve particular attention in developing further discussion about the role of military capabilities of the EU in the conceptualization of the Union as military power. Firstly, the purpose of established military forces, namely ERRF should be scrutinized in order to define the EUs competence as an actor both internal and external, as in theoretical terms military power is and instrument for internal and external policies. European Security Strategy identifies the general reason for establishment of ERRF and Battle groups. It declares: Our traditional concept of self- defense up to and including the Cold War was based on the threat of invasion. With the new threats, the first line of defense will often be abroad. The new threats are dynamic.  [36]  Furthermore, the field of application of ERRF and Battle Groups was defined in the framework of Petersberg Tasks that include humanitarian and rescue tasks, peacekeeping and combat forces in crisis management. Moreover, if we look at the overview of ESDP missions we can see that objectives of the military forces are formed on a case by case basis depending on an operations and missions abroad. For i nstance, the EU military missions (apart from civilian ESDP missions) have largely peace-enforcement and peacekeeping mandates and are used most of the time as an instrument of quick response to humanitarian emergencies. Majority of missions in Africa for instance aimed at peace building and peace enforcement by use of military capabilities of the EU. Secondly, the EU in becoming power and launching missions depends on member-states willingness and policy priorities. It has been not once mentioned by various authors that CFSP and defense policy has a distinctive feature in comparison to Unions policies in economic and social field that have greater unanimity. It is largely argued that another fact that, for now, impedes the effectiveness of the CFSP is the unwillingness of the me

Friday, September 20, 2019

The Indian Pharmaceutical Industry

The Indian Pharmaceutical Industry The Indian Pharmaceutical Industry today is in the front rank of Indias science-based industries with wide ranging capabilities in the complex field of drug manufacture and technology. A highly organized sector, the Indian Pharmaceutical Industry is estimated to be worth, $4.5 billion, growing at about 8 to 9 percent annually. It ranks very high in the third world, in terms of technology, quality and range of medicines manufactured. From simple headache pills to sophisticated antibiotics and complex cardiac compounds, almost every type of medicine is now made indigenously. The number of purely Indian pharmaceutical companies is fairly low. Indian pharmaceutical industry is mainly operated and controlled by dominant foreign companies having subsidiaries in India due to availability of cheap labour in India at lowest cost. Most pharmaceutical companies operating in India, even the multinationals, employ Indians almost exclusively from the lowest ranks to high level management. Mirroring the social structure, firms are very hierarchical. Homegrown pharmaceuticals, like many other businesses in India, are often a mix of public and private enterprise. Although many of these companies are publicly owned, leadership is passed from father to son and the founding family holds a majority share. In 2002, over 20,000 registered drug manufacturers in India sold $9 billion worth of formulations and bulk drugs. 85% of these formulations were sold in India while over 60% of the bulk drugs were exported, mostly to the United States and Russia. Most of the players in the Indian market are small-to-medium enterprises. It has been estimated that 250 of the largest companies control 70% of the Indian market. The 1970 Patent Act., made the multinational companies to represent only 35% of the market, down from 70%, thirty years ago. In terms of the global market, India currently holds a modest 1-2% share, but it has been growing at approximately 10% per year. India gained its foothold on the global scene with its innovatively engineered generic drugs and active pharmaceutical ingredients (API), and it is now seeking to become a major player in outsourced clinical research as well as contract manufacturing and research. There are 74 U.S. FDA-approved manufacturing facilities in India, more than in any other country outside the U.S, and in 2005, almost 20% of all Abbreviated New Drug Applications (ANDA) to the FDA were filed by Indian companies. Growths in other fields notwithstanding, generics are still a large part of the picture. As such, the Indian pharmaceutical industry has now become the third largest producer in the world and is poised to grow into an industry of $ 20 billion by 2015, from the current turnover of $ 12 billion. As a result, manufacturing expertise and efficiency were the only requirements to participate in this industry, creating low barriers of entry. The most critical challenge facing the global pharmaceutical industry today is the increasing cost of drug discovery and development and the increasing time to market. This is further compounded by: Impending patent expirations of blockbuster molecules Pricing pressures Low public opinion Challenges to intellectual property by increasingly aggressive generic companies. Re-importation pressures Medicare/Medicaid reform Increasing regulatory hurdles This scenario is forcing the multinational pharmaceutical companies (MNCs) to rethink their strategic options in order to exploit their core competencies across the globe. In this situation, India stands to a gain a lot because of its inherent advantages like stability, culture, cost, and educated workforce. This has led to increased alliances and collaborations as a result; the leading Indian pharmaceutical companies have become some of the most efficient manufacturing units in the world. In fact, India has the highest number of US FDA (Food and Drug Administration) certified manufacturing facilities outside USA. The overall phenomenal progress made by the industry in the last three decades has instilled a strong belief in the government and the pharmaceutical companies in India that the country has a competitive strength and it should be enhanced by suitable policy measures and firm specific actions with regards to export, innovation, strategic alliances and investment. The pharmaceutical policy 2002 echoes the same sentiments and has shifted focus of the policy from self reliance in drug manufacturing to the objective of enhancing global competitiveness. The introduction of policy says: The basic objectives of the governments policy relating to drug and pharmaceutical sector were enumerated in drug policy of 1986. These basic objectives still remain largely valid, however, the drug and the pharmaceutical industry in the country today faces new challenges on account of liberalization of the Indian economy the globalization of the world economy and on account of new obligations undertaken by India under the WTO agreements. These challenges require a change in current pharmaceutical policy and the need for new initiatives beyond those enumerated in drug policy 1986, as modified in 1994, so that policy inputs are directed more towards promoting accelerated growth of the pharmaceutical industry and towards making it more internationally competitive. The need for radically improving the policy framework for knowledge-based industry has also been acknowledged by the government. The Prime Ministers Advisory Council on Trade and Industry has made important recommendations regarding knowledge-based industry. The Pharmaceutical industry has been identified as one of the most important knowledge based industries in which India has a comparative advantage. THE GROWTH STAGE OF INDIAN PHARMACEUTICAL INDUSTRY SECTION-1 2.1 GROWTH STAGES OF INDIAN PHARMA INDUSTRY Bengal Chemicals Pharmaceuticals Limited (BCPL), established in 1901, is a Public Sector Undertaking (PSU) of the Government of India and is Indias first pharmaceutical company. The company was started by Prafulla Chandra Roy in Kolkata (then known as Calcutta) and has since manufactured such household Indian products as Hospitol, naphthalene balls, and Phenol. The company is headquartered in Kolkata and reported aggregated revenues of Rs 6,199 lakhs (US$ 138.2 million) in fiscal 2006. The Nascent industry, however, received setbacks in the post world war-II period as a result of new therapeutic developments in the western countries that triggered natural elimination of older drugs from market usage by newer drugs like sulpha ,antibiotics, vitamins, hormones, antihistamine, tranquilizers, psycho pharmacological substances etc. This culminated in the discontinuation of local production based on indigenous materials and forced the industry to import bulk drugs meant for processing them in to formulations and for selling in the domestic market. Figure- 2.1: stages of Growth of Indian Pharmaceutical Industry . Source: ISID Working Paper, 2006/05. The government started to encourage the growth of drug manufacturing by Indian companies in the early 1960s. In the post independence period, Indian pharmaceutical industry exhibited four stages of growth (see Figure 2.1 2.2). In the first stage during 1950s-60s, the industry was largely dominated by foreign enterprises and it continued to rely on imported bulk drugs notwithstanding its inclusion in the list of basic industries for plan targeting and monitoring. Foreign firms, enjoying a strong patent protection under the Patent and Design Act 1911, were averse to local production and mostly opted for imports from home country as working of the patent. Given the inadequate capabilities of the domestic sector to start local production of bulk drugs and hesitation of foreign firms to do so, the government decided to intervene through starting public sector enterprises. This led to the establishment of the Indian Drugs and Pharmaceuticals Ltd. (IDPL) plants at Rishikesh and Hyderabad in 1961 and the Hindustan Antibiotics at Pimpri, Pune, in 1954, to manufacture penicillin. The starting of the public sector enterprises has been an important feature in the evolution of the pharmaceutical industry as it assumed initiative roles in producing bulk drugs indigenously and led to significant knowledge spillovers on the private domestic sector. The second growth stage, of the industry took place in the 1970s. The enactment of the Indian Patent Act (IPA) 1970 and the New Drug Policy (NDP) 1978 during this stage are important milestones in the history of the pharmaceutical industry in India. The IPA 1970 brought in a number of radical changes in the patent regime by reducing the scope of patenting to only processes and not pharmaceutical products and also for a short period of seven years from the earlier period of 16 years. It also recognizes compulsory licensing after three years of the patent. The enactment of the process patent contributed significantly to the local technological development via adaptation, reverse engineering and new process development. As there exits several ways to produce a drug, domestic companies innovated cost-effective processes and flooded the domestic market with cheap but quality drugs. This led to the steady rise of the domestic firms in the market place. The NDP 1978 has increased the pressure on foreign firms to manufacture bulk drugs locally and from the basic stage possible. Foreign ownership up to 74 per cent under the Foreign Exchange Regulation Act (FERA) 1973 was permitted to only those firms producing high technology drugs. Foreign firms that are simply producing formulations based on imported bulk drugs were required to start local production from the basic stage within a two year period. Otherwise were required to reduce their foreign ownership holding to 40 per cent. New foreign investments were to be permitted only when the production involves high technology bulk drugs and formulations thereon. In the third growth stage or phase of evolution Indian pharmaceutical industry developed modern technology for manufacturing of all dosage forms like tablets, capsules ,liquid ,oral, injectables etc.. This domestic industry based on large scale reverse engineering and process innovation achieved near self sufficiency in production of bulk drugs belonging to various major therapeutic groups resulting in lasting impact on competitive position of Indian pharmaceutical firms in national and international markets. During , 1980-90s ,Indian pharmaceutical industry had emerged as one of the most export oriented sectors in Indian pharmaceutical industry with more than 30% of the production being exported to the foreign market. In 1991, domestic firms contribute about 70-80% market share in case of bulk drugs and formulations respectively. The trade deficits of seventies had been replaced by trade surpluses of 1980s. (FIG-2.1). The fourth stage of evolution of industry during 1990s witnessed dramatic changes in the policy regime governing the pharmaceutical industry. The drug de-licensing, hundred percent foreign investments is permitted through automatic route and price control has been significantly reduced. One of the major factors that have increased the confidence of foreign multinationals looking for local opportunities in India is the adoption of a new product patent regime in January 2005, before that India had already carried out three amendments in march-1999, June2002 and April 2005, in the patent act of 1970 to bring to bring Indian patent regime in harmony with the WTO agreement on Trade Related Intellectual Property Rights (TRIPs). The third and the final one, known as the Patents (Amendment) Act, 2005 came into force on 4th April 2005 and introduced product patents in drugs, food and chemicals sectors. The term of patenting has also been increased to a 20 year period. The number of pharmaceut ical units has also increased to over 23,000 in 2002, further more Fig: 2.2: Growth phase of Indian pharmaceutical industry graph1 SOURCE: BEST PHARMA INDUSTRY REPORT-2011-INDIA The fifth stage is in progression (Fig.2.2), in which we are observing investment in innovation and research, with enactment of new IP laws and investments in biotechnology aided companies. There is promising growth in production of bulk drugs and formulations (Table: 2.1) from Rs 10 crores in 1947-48 to Rs 21100 crores in 2002-03 in formulations and almost nil in 1947-48 to Rs 5400 crores in 2002-03 in bulk drugs production. The drug industry also becomes capable to spent 497crores in 2002-2003 from almost nil in 1947-48 on research and development of new molecules. All in all Indian drug sales are expected to rise by an annual 8% to nearly $26.59 bn between 2006 and 2015 and further is the matter of wait and watch depending up on conditions prevailing in international and domestic markets. In the UNIDO-classification of developing countries, according to the state of art in the pharmaceutical sector India is ranked among the top and today India manufactures over 400 bulk drugs and around 60,000 formulations. 2.2 Drug industry-growth As shown in, Table: 2.1 and table2.2, depicts the growth progress in production of bulk drugs and finished formulations. India produces bulk drugs related to various therapeutic areas. Indian pharmaceutical industry, manufactures over 400 bulk drugs and roughly 60,000 finished medicines used in different formulations. 2.3 THE GROWTH SCENARIO IN CONTINEUM: Indias US $ 3.1 billion pharmaceutical industry is growing at the rate of 14 percent per year. It is one of the largest and most advanced among the developing countries. Domestic Demand The industry has enormous growth potential. Factors listed below determine the rising demand for pharmaceuticals. à ¢Ã¢â€š ¬Ã‚ ¢ The growing population of over of a billion à ¢Ã¢â€š ¬Ã‚ ¢ Increasing income à ¢Ã¢â€š ¬Ã‚ ¢ Demand for quality healthcare service à ¢Ã¢â€š ¬Ã‚ ¢ Changing lifestyle has led to change in disease patterns, and increased demand for new medicines to combat lifestyle related diseases. More than 85 per cent of the formulations produced in the country are sold in the domestic market, there has also been a record increase in consumption of drugs worldwide. India with its large population has recorded the therapeutic segmentation in healthcare market with changes in pattern of drug consumption in turn affecting its production.Fig:2.3 shows the percentage increase in sales in various therapeutic segments. India is largely self-sufficient in case of formulations. Some life saving, new generation under-patent formulations continue to be imported, especially by MNCs, which then market them in India. Overall, the size of the domestic formulations market is growing strongly at 10 percent per annum (Table, 2.4), with rs23047crores in 2006-07, from rs2350crores in 1987-88. Fig: 2.3: Percentage Increase therapeutic segments. SOURCE: ORG-MARG AUDIT-2011. Table 2.4 shows demand for drugs as per therapeutic segments, showing categories, for treatment of lifestyle-related diseases such as diabetes, cardiovascular diseases, and central nervous system are on the increase. Health scenario is also changing. There are around 700,000 new cases of cancer each year and total of around 2.5 million cases. It is estimated that there are around 40 million people in India with diabetes and the number is rising, 5.1 million HIV/AIDS patients, and 14 million tuberculosis cases. According to industry reports, while the Indian pharmaceutical industry witnessed a growth of 7 to 8 percent, the cardio-vascular segment recorded 15 to 17 percent growth and anti-diabetes segment of over 10-12 percent growth. So, with the increase in diseases and various ailments, consumption of medicines is on increase day by day (refer, Fig: 2.3). As per estimates, Over 20,000 registered pharmaceutical manufacturers exist in the country. The domestic pharmaceuticals industry output is expected to exceed Rs260 billion in the financial year 2002, which accounts for merely 1.3% of the global pharmaceutical sector. Of this, bulk drugs had accounted for Rs 54 bn (21%) and formulations, the remaining Rs 210 bn (79%). Table: 2.5, shows the 16.98% CAGR for bulk drugs amounting to rs17, 307.02 crores in 2009-10. 2.4 BULK INDUSTRY GROWTH EX-IM MARKET The export market growth has been one of the most outstanding features of the Indian pharmaceutical industry (Table-2.5). Negligible before the 1970s, exports started picking up after the abolition of product patents in 1972, accelerating in the 1980s and then growing rapidly since the mid-1990s. In recent years, exports have been increasing annually at more than 20%. The proportion of exports in net sales for the studied 120 companies was 44%. The export market was found to be larger than the domestic market not only for large companies, such as Ranbaxy (Now owned by Japanese Daichi Sankyo Corporation), Dr. Reddys or Cipla , but also for smaller companies such as Granules , Shilpa Medicare, Kopran , Transchem, and Pure Pharmaceutical etc. The period between 2000 and 2010 witnessed Indias top 10 drug companies growing in their sales turnovers, ranging between Rs 500-Rs 800 crores, to professionally-run MNC generics manufacturing companies with turnovers ranging from Rs 3,500 crores t o over Rs 7,000 crores. India is among the top 20 pharmaceutical exporters world-wide. Most of these exporting firms earlier dependent on bulk drug supplies, small exports to unregulated markets in Africa and Asia and formulation sales in the domestic market, the last 10 years saw them aggressively tapping regulated markets of the US and Europe and penetrating into newer and emerging market Exports Over 60 per cent of Indias bulk drug production is exported. Indias pharmaceutical exports are to the tune of Rs 87 billion, of which formulations contribute nearly 55 per cent and the rest 45 per cent comes from bulk drugs. In financial year 2005, exports grew by 21 per cent. Domestic pharmaceutical export, growing at 30 per cent per annum, touched a new height of US $ 4.8 billion in the financial year 2006-07. The years exports will push the drug sectors contribution to Indias Forex earnings to 7.75 per cent from the current 5 per cent. The growth in drug exports, despite the pressing generic competition in the global markets, is attributed to increased Abbreviated New Drug Applications (ANDAs) approvals in the US market and contribution from unconventional markets in Latin America, Australia and the emerging markets in the Middle East and African Region. The formulations and exports are largely to developing nations in CIS, South East Asia, Africa and Latin America. In the last 3 years generic exports to developed countries have picked up.In the coming years, opening up of US generics market and anti AIDS market in Africa will boost exports. Indias pharmaceutical sector has seen unprecedented changes in the past decades ensuing for a remarkable growth in its exports (pharmaceutical exports occupy a share of 4.4% to 5.2% of Indias total exports over the last 6 years) and exports grew at a CAGR of around 22% in the 6 year period of 2004-05 to 2009-10( Fig:2.4). Indias growth story in itself vindicates its potential; it had a $ 333.33m turnover in 1980 to around $22.30 bn. by 2010-11 FIG: 2.4 PHARMA EXPORT TOTAL EXPORT SHARE pharmaceutical industry in the country today faces new challenges on account of LIbralisation of the Indian economy graph2.JPG SOURCE: Indian pharmaceutical export [emailprotected] 2.5 Revenue from Export As earlier discussed India accounts for less than two per cent of the world market for pharmaceuticals, with an estimated market value of US $ 10.4 billion in 2007 at consumer prices, or around US $ 9 per capita but has the potential to reach more than 2% by 2020. India currently represents just US $ 6 billion of the $ 550 billion global pharmaceutical industry but its share is increasing at 10 percent a year, compared to 7 percent annual growth for the world market overall. Also, while the Indian sector represents just 8 percent of the global industry total by volume, putting it in fourth place worldwide, it accounts for 13 percent by value, and its drug exports have been growing 30 percent annually. Cipla, Nicholas Piramal, Ranbaxy, Zydus Cadila, Dr. Reddys are the few Indian pharmaceutical companies, which are known at the global level due to their quality products. The Indian market for over-the-counter medicines (OTCs) is worth about $940 million and is growing 20 percent a year, or double the rate for prescription medicines. The industrys exports were worth more than $3.75 billion in 2004-05 and they have been growing at a compound annual rate of 22.7 percent over the last few years, according to the governments draft National pharmaceuticals Policy for 2006, published in January 2006. The Policy estimates that, by the year 2010, the industry has the potential to achieve $22.40 billion in formulations, with bulk drug production going up from $1.79 billion to $5.60 billion. Import Imports have registered a CAGR of only 2 per cent in the past 5 years. Import of bulk drugs have slowed down in the recent years as per DGIC reported data in the year 2010-11. The value of export was Rs 10,937 Crores, recording a declining growth of 9.82% as compared to 15.15% in 2009-10. The situation is advantageous and good sign, as the industry is becoming self reliant in production and less dependent on foreign markets. Based on the retrospective data, USA, Germany, Russia, UK, China, Brazil, Canada, South Africa, Nigeria, Netherlands, Spain, Turkey, Ukraine, Vietnam, Israel, Italy, Mexico, UAE, Singapore, Iran had been potential importers of Indian Drugs. Countries like South Africa, Israel, Turkey, Kenya, Singapore, UK, China, Russia, Italy and Vietnam etc. have been identified to be potential prospective markets with high growth rates of imports from India. Africa, Latin America, ASEAN and CIS countries with huge demands deem them to be put in the category of focus countries as these are the emerging markets and have a huge potential with day in day out incremental growth rates of per capita drugs consumptions supported by treaties like SAFTA (with SAARC), treaties with GCC, EU, Japan, Korea etc. As shown in table: 2.10, based on such estimates, it has been predicted that the 17% export growth of Rs 248,000 crores would be achieved in 2019-20 with a domestic growth of 22% amounting to Rs 233,000c rores. Section-II CROSS BORDER ACQUISITIONS IN INDIAN PHARMACEUTICAL INDUSTRY 2.6 INDIAN PHARMACEUTICAL SECTOR CROSS-BORDER ACQUISITION The health-care costs are rising world-wide. Leading companies across the world are merging. Strategic alliances and collaborations are taking place in order to meet the increasing RD budgetary requirement that exceed billion dollars each for many leading global pharmaceutical players. Indian Drug manufacturers are pursuing foreign acquisitions due to their need to: Improve global competitiveness Move up the value chain Create and enter new markets Increase their product offering Acquire assets (including research and contract manufacturing firms, in order to further boost their outsourcing capabilities) and new products Consolidate their market shares Compensate for continued sluggishness in their home market. Often there is a significant overlap of expenditure in creating manufacturing assets or investing in RD either in generics or in basic research resulting into wastages at national level. Consequently corporate have indulged either in acquisitions or mergers to avoid duplication of investments and capture larger market share at global place. Table 2.7 shows the data of number of overseas acquisitions by Indian pharmaceutical Industry. We can conclude that the year 2005 witnessed the maximum number of overseas acquisition due to paradigm change in pharmaceutical policies and enactment of certain new laws which are later discussed in this chapter. Indian companies had gained a lot by these cross border acquisitions and details of which has been given in table 2.8 Many Indian companies are seeking to expand their distinctive capabilities by acquiring specific skills, knowledge and technology abroad that are either unavailable or of inadequate quality at home. By mergers and acquisitions they get advantage of acquiring new resources and gain entry to new markets for better profitability. Table2.8 shows the number of cross border acquisitions by Indian companies with their focus areas. 2.7 INDIAN PHARMACEUTICAL MARKET AND THE WORLD : DISCUSSION The period between 2000 and 2010 witnessed Indias top 10drug companies growing in their sales turnovers, ranging between Rs 500-Rs 800 crore, top professionally-run MNC generics manufacturing companies with turnovers ranging from Rs3,500 crore to over Rs 7,000 crore. India is among the top 20 pharmaceutical exporters world-wide. Most of these exporting firms earlier depended on bulk drug supplies, small exports to unregulated markets in Africa and Asia and formulation sales in the domestic market, the last 10years saw them aggressively tapping regulated markets of the US and Europe and penetrating into newer and emerging markets. The Indian industry had filed only 3 marketing applications with the USFDA in 1998, the number swelled to 148 in 2009. Approximately $123bn of generic products is at risk (subject to patent renewal approvals by regulators) of losing patents by 2012.Even at a conservative estimate of 15% opportunity this translates into $18.4bn opportunity for India. However the figures need to be appropriately deflated since Indian opportunity will lie in generics equivalent of branded drugs, which would be cheaper. Ageing populations of the US (plus the 2010 US Healthcare Reforms in action), China European economies leading to the more and more expenditure on medicines and appreciation in the per capita consumption value of the drug products with cheaper rates. As global markets such as North America, Europe and Japan continue to slow down (graphical representation below), pharmaceutical companies are scanning markets for new growth opportunities to boost drug discovery potential, reduce time to market and squeeze costs along the value chain. The Industry is beginning to realize that some of the most promising opportunities will come from emerging markets (Asia/Australia/Africa Latin America). IMSHealth and other sources suggest that emerging markets (China, India, Brazil, Russia, Turkey, Mexico and South Korea) will contribute to over 40% of the incremental growth of the global Pharmaceutical industry over the next decade. With its enormous advantage ,including a large well educated ,skilled and English speaking workforce, low operational costs and improving regulatory infrastructure, India has the potential to become the regions hub for pharmaceutical and biotechnology discovery research, manufacturing, exporting and health care services within the next decade. However, in order for this to happen, it is imperative that the regulatory environment continues to improve . otherwise ,India will have to face tough competition from china leading to capture of market shares by china as their government strong commitment and pro industry policies have produced a favorable and protective environment for not only product patent but also for crucial data protection so while developing an Indian collaborative RD strategy, pharmaceutical MNCs should keep in mind certain issues like data and IP security, performance metrics, and quality standards, and address and evaluate these upfront to ensure a successful relati onship. Although the major factor that has increased the confidence of foreign multinationals looking for local opportunities in India is the adoption of a new product patent regime in January 2005. This already had facilitated concurrent global phase II and III clinical trials. A new patent regime has changed the dynamics of the Indian pharmaceuticals industry in other respects, too. Several leading domestic producers have begun to conduct original research into new chemical entities (NCEs) and novel drug delivery systems. However, these companies are likely to license most of these drug candidates to Western pharmaceutical companies, because few Indian companies can afford the high costs and failure rates associated with developing an NCE. In this context, several Indian firms have already entered into research partnerships with multinationals. Some pharmaceutical MNCs like AstraZeneca have opened their own captive research centers in India to take advantage of the low costs as we ll as availability of high quality intellectual work force. Russia 2013, marketing insight estimates. (ASSOCHAM). IMS estimates the healthcare market in India at $31.59 bn. by 2020, whereas the global management consulting major, McKinsey Co. predicts that the Indian pharmaceutical market is expected to touch $40 by 2015. The industry has given employment to approximately 2.86 mn people and has around 20,053 units. Globally, India is 4th in terms of volume (8% of worlds production), 13th in terms of value, and 17th in terms of pharmaceutical export value. The drugs and pharmaceuticals exported are worth over $3.8 bn. Section-III INDIAN PHARMACEUTICAL MARKET 2.8 DOMESTIC PHARMACEUTICAL MARKET The pharmaceutical industry in India meets around 70% of the countrys demand for bulk drugs, drug intermediates, pharmaceutical formulations, chemicals, tablets, capsules, orals and injectibles. There are about 250 large units and about 8000 Small Scale Units, which form the core of the pharmaceutical industry in India (including 5 Central Public Sector Units). These units produce the complete range of pharmaceutical formulations, i.e., medicines ready for consumption by patients and about 350 bulk drugs, i.e., chemicals having therapeutic value and used for production of pharmaceutical-formulations. As discussed in earlier chapters about the Indian Pharmaceutical sector which is highly fragmented with more than 20,000 registered units. It has expanded drastically in the last two decades. The leading 250 pharmaceutical companies control 70% of the market with market leader holding nearly 7% of the market share. It is an extremely fragmented market with severe price competition and government price control. North Indian states UTs are also engaged in production of pharmaceutical products, few states like Himachal Pradesh, Uttaranchal, are also providing tax holidays so as to motivate the pharma companies to enhance their production facilities, more over the climatic conditions and other macro factors are suitable for the growth of pharma and especially biotech., Industries in these two states. Table2.14 shows the state wise distribution in north India. FiG.-2.6 :STATE- WISE DISTRIBUTION OF PHARMACEUTICAL SECTOR IN INDIA, 2010-11 . graph3.JPG Source: Annual report: 201