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Monday, September 30, 2019

The Success of the Elite White South

During the 12 year period after the Civil War (1865-1877) four main groups of people, Southern Whites, Recently Freed Blacks, Northern Democrats, and Northern Republicans, were all competing to rebuild the war ravaged South to their advantage or ideals, but it was the Southern Whites whose needs were most closely met. Because the freedmen were never given social equality, education, means of economic success, or full participation in government operations the plantation owners of the south were able to bring about conditions after the civil war which were not far from those of the prewar, with the whites controlling the laws and the money and the blacks performing all of the labor needed to fuel an agrarian economy. After the Civil War many Negroes though they would soon be entitled to nearly full, if not complete, social equality because of congressional action such as the formation of the freedman's bureau and the passing of the civil rights act. However, they soon learned that the Southern whites were not about to let this happen, and that blacks would be kept in the inferior position they had known for the hundreds of years that preceded the war. Soon after the war most Southern states wrote into the books news laws pertaining to Negroes called the â€Å"Black Codes. † These laws, which were often identical to prewar laws save the word â€Å"slave† was replaced with the word â€Å"freedman†, limited almost every conceivable right of the black man. They were denied the ability to congregate in groups, stay at certain motels or inns, and eat at many restaurants. They were required to carry special passes and given a curfew. Because the white South was so opposed to black equality, any law passed to grant Negroes rights were either or ignored, or were bypassed using certain loopholes. Congress could do almost nothing to stop these maltreatments from happening. In 1875 they did pass the Civil Rights Act, but poor enforcement and a Supreme Court ruling 8 years later led the bill practically useless to the blacks. All in all white resistance and government control led to almost no integration of blacks into white society. Lack of good education for blacks was another important factor that prevented them from achieving any status higher than servant after the war. Although blacks schools were set up from primary to college, they were sparsely funded and almost completely segregated, leaving the blacks with either no education or a very poor one. Congress did make attempts at, and succeed in, creating state funded schools in the South, they allowed them to be segregated, which permitted the whites to control which race got what kind of education. Their prejudices of course pointed them in the direction of inferior education for blacks. Black schools were almost always poorly funded and inadequately staffed. The teachers at these schools, usually Northern whites, were often given such a horrible social stigma that they were forced to leave the South, and teaching there, completely. They were ostracized by the whites, and often beaten or tarred and feathered by the Ku Klux Klan. Some states attempted to integrate state colleges, or create all black colleges, but these ventures met with little success. In Arkansas, for example, the state college was declared open to all races, but only one black person registered and he was taught privately off campus. Not only did the prospect of segregation allow for poor black education, but it also caused their demoralization. Almost a hundred years later when the Supreme Court finally ruled segregation unconstitutional, one of the strongest arguments was that separating the blacks from the whites caused a great feeling of self hatred and inferiority among the blacks. Had the blacks not faced these practical and psychological barriers, they would have been far more likely to contend with white southerners in the job market. One of the most important things denied blacks during reconstruction was the means to make a living either of subsistence farming or in jobs requiring skilled labor. Early on in the civil war there were rumors of a post-war land redistribution which would gives blacks the means to start farms of their own, but these rumors predicted a much greater turn over of land than was actually seen. At first it seemed as if they might be true however. Upon capturing the sea islands south of Charleston, General Sherman gave the 485,000 acres to 40,000 black families to run. These blacks believed they had been given legal ownership of the land, and worked it profitably for over 4 years until the original white owners stepped in and demanded, and were granted, their old deeds back. Other plans were initiated to give poor blacks more land, but few of them me with success. In some states thousands of acres were acquired through either purchase, taxation (States taxed land highly if one person owned more than a certain amount. This required many large land owners to give up some, but not all of their land. ), or confiscation, but when attempts were made to sell this land off at low prices, it was picked up mostly by speculators or people with close ties to the government looking for a summer home. Fewer than 40,000 acres were ever actually given to poor blacks. Not only were blacks kept out of subsistence farming, but they were also removed from almost all forms of skilled labor. The black codes imposed strict restrictions on what jobs blacks could do, so that even if they did pick up a trade, either through schooling or from previous experience on the plantation, they could not use it. The whites did allow them to enter the skilled workforce, but only through apprenticeships under white masters which were almost no better than slavery. Apprentices were not allowed to leave their maters, and could be whipped if the masters deemed it necessary. With the end of efforts to get the black man his own land and the inability for him to enter the skilled work force the black man was destined to a life of subservience to the whites. After reconstruction the only option left to most of the blacks was a system of sharecropping which was practically identical to slavery. And just as demoralizing. All of these restrictions could easily have been lifted if the freedmen had been given the right to vote early on, as the 15th amendment seemed to promise, but this never happened. Although the 15th amendment guaranteed the right to vote to everyone regardless of race or creed, it's vague wording allowed whites to find other ways to deny the freedmen suffrage. Southern states adopted poll taxes, education requirements, land requirements, grandfather clauses, or a mixture of any of those in order to successfully keep the blacks from the polls without actually stating that blacks could not vote. This allowed the whites to stay ahead politically as well as economically. Although in some states this did not happen, and blacks were even elected to political office, they never achieved high ranks in either state or federal governments, and their numbers in the house were well below what percentage of the population they represented. Without the right to vote or any representatives in the government, the blacks found themselves powerless to change the laws that held them down. They could not get equal rights, decent education, or job opportunities because these were all the responsibility of the government, a government which they played almost no part in. Without a voice in legislation the black man was powerless to direct his destiny, and the white man was able to guide him down a path of further servitude. This fact alone proves that slavery did not die with the end of slavery. With a large portion of the population writing laws keeping a smaller portion in a lesser state, slavery still exists. All of these factors contributed to keep the whites on top of the blacks for many years after reconstruction. It wasn't until the civil rights movement of the 1960's that true change was brought about. The black man was kept out of white social circles, was not given education, was kept out of the job market, and was not allowed to participate in the government. All of these factors added up to a man who was supposedly free, but had few options to choose from. Everywhere the black man turned paths were off limits to him, and the only one that seemed to be open was one of lower class citizen whose life was still basically determined by the white man. The outcome of the reconstruction truly favored the whites in that all power was given to them. They were able to control the destiny of not only themselves, but of the blacks as well.

Sunday, September 29, 2019

History of Zen and Japanese Gardens

The art of Japanese gardens dates back to at least 592 AD, during the reign of Empress Suiko. There is documented evidence that suggests the art had actually been progressing long before then, because these early gardens were very well-developed. Early gardens contained artificial hills, ornamental pools, and many other features of Japanese gardens today. The first major development in the history of Japanese gardens came in the Nara period (646-794 AD), when trade with China began in earnest. This brought many changes to Japanese culture, and even more elaborate gardens in the castles of Japanis elite class. These gardens included animals, birds and fish to provide movement, and were used as sites for feasts and parties given by noblemen. As the fascination with other cultures began to wear off in the Heian period (794-1185 AD), those who could afford to build gardens had a renewed interest in traditional Japanese styles and customs. This change brought an elegant mix of Chinese customs and Japanese style to gardens, known as Shinden. The layout of these gardens was dictated by myth and legend; for example, streams had to run from east to west because in ancient Chinese lore, the East was the source of purity and the West was the outlet of impurities. Japanese garden. Not many changes were made to the Shinden style until the middle of the Kamakura period (1185-1392) when Zen Buddhist priests began creating gardens for meditation instead of merely for entertainment. Decorativeness was played down in favor of meditative qualities; gardens in this era tended to include stones, water and evergreens, remaining constant throughout the year. This minimalist theory was carried to even greater extremes in the Muromachi and Higashiyama periods (1392-1573) when gardens contained only stones. Created in the style of the monochrome landscape paintings popular during the time, these gardens used specially picked stones as metaphors for objects in nature. Also developed during this time was the flat garden, or the Hira-niwa. During the Momoyama period, most likely as a reaction to the frugality of the Zen garden design, royal gardens once again became vibrant and lush. These gardens were full of hills, waterfalls, and a variety of plants. However, the old Zen tradition lived on in tea gardens. Walking gardens were invented, constructed so as to be pleasing to the eye from any angle, and paths had to be woven into the structure of the garden itself. The result, right up to the modern day, is a great variety in Japanese gardens. From Zen rock gardens to tea gardens to walking gardens, the art of Japanese gardens is still very much alive.

Saturday, September 28, 2019

Only Child or With Siblings Essay

Being an only child or living with siblings†¦ what’s better? Let’s talk about the positive and negative aspects. Being an only child can be positive because you have all the attention of your parents only for you, parents do everything for you. You get the best education, the best toys, trips and parents have more money to spend on you. You don’t have to share anything. Likewise, you don’t have to fight for your room, food, gifts and for your parents love. There is nothing to feel jealous about or to compete for. Not only that, but you have more friends and become more resourceful and creative at the time of playing. In spite of, being an only child can make you selfish and feel you are the most important person because you are used to all the attention at home. When you are an only child parents tend to be overprotective and expect the best from you always. Moreover, only child can sometimes feel lonely and bored. On the other hand having siblings has some advantages. First of all, there are many members in the family to be around with, play, eat and at the end of the day there is always someone to talk with. In addition, whenever you have a difficulty there is always a sibling who would defend you. Besides when you live with siblings you can borrow things and learn to get along with others in a better way, practice the values of sharing, tolerance, love and caring. In contrast to this, there are also disadvantages in having siblings; most of the time there is no privacy for you. You must share your room, toys, clothes and food because it is very expensive to raise many children at the same time. Furthermore, child with other siblings spend most of the time fighting and arguing. Besides, when parents have more than one child the responsibility is bigger and they are always tired. However, being and only child or not as long as you have a family that takes care of you and loves you is what matters the most. Krizia Gomez

Friday, September 27, 2019

Internet advertising in relation to Cultural groups (Iran vs.USA) Essay

Internet advertising in relation to Cultural groups (Iran vs.USA) - Essay Example The advertisements on the net are outlined considering the exact country wherein the company is situated.They can also be seen by people from other countries. The culture outline wherein this person has been brought up makes him recognize this advertisement in a different way. Consequently, it becomes a prerequisite for advertisers to take into account the concerns involved in such differences while outlining advertisements on net. According to Kennedy (1995) the web as compared to other types of advertising, have a tendency of being high on information, low on creating an emotional reaction and of partial value in strengthening behavior that is on hand. Sutherland illustrates that the net is also different in the sense that it is a medium that involves so highly given that it needs is a high involvement medium because it requires a frequent flow of judgments from the consumer and each snap signifies a judgment.Internet advertisements are capable of and are frequently besieged to a c onsumer outline that sequentially influences the way the point will be established.As Mooij,puts it: Culture is seen by lots of people as the soft feature of global marketing and that its significance is best seen as inferior to other fundamentals of global marketing strategies.... On the other hand Mueller, et al., (1994) claims, that advertising mirrors confined cultural values, it is impressive and influential as compared to culturally insensible advertising. A number of researchers, as a result, have highlighted usage of country-specific cultural morals appeal when developing global advertising promotions and message material (Albers-Miller et.al 1994). Consequently, it is essential that marketers take into close account the principles of a specific culture, since cultural values establish the manner of behaviors and end states for every person. (Pollay, 1983). Therefore, I decided to study the relation of internet advertising to two different cultural groups: Iran and America in view of their perceptions. Culture and Internet advertising Advertising on the Net and Culture appears to be an aspect that may not be influencing each other, however, culture influences advertising on the internet. Edward (2000) has planned a cultural outline, wherein he declared that every culture can be positioned in relation to one another via the manner in which they communicate. In some cultures, for instance Scandinavians, Germans and the Swiss, communication occurs mainly through open statements in text and talking and they are thus classified as Low-Context cultures. In other cultures, like the Japanese and Chinese, messages comprise of other communicative indications like body language and the usage of silence. These advertisements utilize different language adaptations of the site as they are predisposed by culture sensitivity and differences in requirements among cultural groups. Analysis Internet considers contents or design depending on which the site was developed.

Thursday, September 26, 2019

Reflection 8 Essay Example | Topics and Well Written Essays - 250 words

Reflection 8 - Essay Example Land conservation efforts and environmental conservation efforts aimed at leading the world towards an environment where each person plays a responsible role in leading to protection of the environment. The writer advocates people to look at eating as agricultural act rather than an agricultural product that many people consider it as. (Berry, p.65) Specialization in production is an aspect that is considered to lead to specialization in consumption through which some species can survive the wrath of man and hence sustenance. The dependent nature of the populations on the consumption of agricultural products has an effect on the environmental activities that take place in the world. Most of the consumption is on products essential to man and hence the difficulty in protecting the species and ensuring that environmental efforts in conservation prove successful. The consumption levels differ and the efforts to introduce genetically modified foods indicate the desperate measures of the human population in dealing with the environmental effects and in trying to prepare for a total food lack. These indicate the pleasure of eating that people are working hard to protect and hence leaving the world at risk of more environmental

Warsaw Ghetto and The Pianist Research Paper Example | Topics and Well Written Essays - 1500 words

Warsaw Ghetto and The Pianist - Research Paper Example This essay focuses on description of the life and death in the WWII times in the Warsaw Ghetto, in Poland. The researcher analyzes the book written by a survivor of the events that are described in the book and then the movie, the Pianist. Wladyslaw Szpilman, who is an author and the main character of the book was a Polish Jewish man who lived through the Jewish Holocaust. He was a musician and his experiences were shown in the movie and the book, named The Pianist. The book was written by Szpilman and his son was able to get it published because he wanted people to know what happened to his father during WWII times. The Holocaust was a tremendously bad situation that happened to the Jews in Europe and reading a such personal account and memories was very difficult for the researcher at times. The Warsaw Ghetto in Poland was where most of Szpilman's experiences happened. The essay follows the book and describes The Warsaw Ghetto that was not a happy place or one where people were tre ated well. Life and war experiences of the main character were also described as well. To conclude, the researcher gives his own opinion on the book that he analyzed. The researcher thinks that this was an interesting time in history and it made him want to read some more about the Holocaust but it is also very difficult to read it at the same time. He also thinks that the movie was very hard to watch and he was in tears many times watching what people did. At the end, the researcher hopes that this never happens again to anyone.

Wednesday, September 25, 2019

Emotional inteligence and the Cognitive resource theory of The Home Research Paper

Emotional inteligence and the Cognitive resource theory of The Home Depot - Research Paper Example Moreover, some examples from the book of Daniel Goleman â€Å"Emotional Intelligence† have been presented. Moreover, all the forms of intelligence have been defined to clarify the exact base of emotional intelligence. Previous researchers claim that there are two types of intelligence, verbal intelligence and the academic intelligence. The significance of intelligence is obvious as it decides the position of people in hierarchy ladder. Only very intelligent people secure the place of a leader because they have the ability to solve intricate problems with ease. The traditional intelligence has a clear association with verbal intelligence both are evaluated by IQ tests. According to a meta-analysis conducted by Timothy Judge, Amy Colbert, and Remus Ilies (2004) leadership and verbal intelligence has .21 and .27 range association that is not equally greater than common shrewdness. However, past examination also exhibited negative attachment between leadership and intelligence as well as the competency of leadership was not found commendable (Lord, DeVader, & Alliger, 1986). Obviously, there have been some issues; therefore, leadership and intelligence could not build powerful association. If the intelligence of a leader is far superior to his/her followers the followers would definitely not recognize it and consequently do not backup the leader. According to the social theory of Hogg (2001), the tendency of followers is not psychologically different from other selection approaches; the followers always select a person who is perfect among them; the followers always reject a leader who is far superior in intelligence than the followers. The intelligence and leadership association can be modified through factors of situation. The hindrance in enhancement of leadership competency is a test of stressful situations and crisis as the leader tries to resolve the issue through planning whereas the problem requires swift action (Fred Fiedler, 2002). On the contrary, in crisis and strenuous circumstances, Fred Fiedler (2002) explains in his cognitive resources theory, the experienced leader is usually found more effective because he/she has acquired training and experience to implement behavioral actions; these experienced leaders are just like fire fighting or military leaders who take fast actions during strenuous situations. However, when there is no direct crisis and intelligent leaders have time to analyze problem to find the solution, in accordance with cognitive resources theory, intelligent leaders can beat experienced leaders. Thus, intelligent leader can only enjoy success sometime. Moreover, efficient leadership can be successful with particular knowledge of the related trade, for instance, a sport team leader can successful, if he/she has skills and athletic information rather than verbal intelligence. For leadership emergence and competency, the other shapes of intelligence are more highly involved as compare to verbal intelligence and the fact must be kept in perception, importantly. The other shapes of intelligence such as social intelligence, or understanding of people through social interaction. These forms of intelligence are more significant for leadership in contrast to IQ. Furthermore, the new form of

Tuesday, September 24, 2019

Eating my favorite fruit Essay Example | Topics and Well Written Essays - 500 words

Eating my favorite fruit - Essay Example Mango comes in a mixture of varied colours ranging from yellowish orange, to those that are yellowish green with a tinge of red at the top. It is really amazing to know that there are more than four hundred varieties of mangoes in the world. The surprising thing is that each and every variety of mangoes tends to have a shape, colour, size and flavour of its own that makes this fruit really unique. Seeing the varied varieties of mangoes displayed in the market place is really a feast for the eyes. While buying a mango one must look to it that the fruit has a fine leathery surface that is intact and unbroken. One must never buy the mangoes that have a broken or tampered skin. One must also touch and feel the fruit to assure that it is neither too hard, nor too soft and pulpy. If a mango is too hard it means that it is yet not ready to be eaten. On the contrary, too soft a mango means that it is not fresh. A sweet fruity smell coming from a mango is suggestive of the fact that the fruit is ripe and fresh, and fit to be consumed. It also takes tact to prepare a mango for eating. One must slice the fruit from its round end, exposing the soft yellowish flesh that is full of juice. Once this is done one can scoop out the yellowish flesh with a spoon from a slice and eat the sweet, aromatic and juicy pulp. And take care not to make loud, slurping noises while eating the fruit. The interesting thing about mangoes is that one can also prepare a variety of cuisines from them. Like any other fruit, mangoes could be added to cakes, tarts, puddings, custards and ice creams to lend a rich and savoury flavour to them. One could also prepare delicious and nourishing mango shake, by blending mangoes with milk and sugar. In my opinion mangoes must be eaten when they are fresh, as the fruit is bound to lose its taste and aroma if kept for a few days. I make it a point to buy only the fresh mangoes, having just the right texture, firmness and aroma. I am

Monday, September 23, 2019

Sosial anthropology Essay Example | Topics and Well Written Essays - 4250 words

Sosial anthropology - Essay Example Led by Wired, dot com boosters were claiming that the Net was creating the free market only found up to then in the neo classical economics text books. Inspired by post modernist gurus, new media activists were convinced that humanity would liberate itself from corporate control by escaping into cyber space (Barbrook, 2005) Jumping forward from the 1990s to the year 2008 the above quote seems true to both sides. On one hand we have seen a huge shift in the way that people consume with more and more people choosing to sell and buy over the world wide web, vast amounts of profits generated for companies like Google who enjoyed in the â€Å"1990s an estimated growth of 100% per year.† (Coffman, K. G; Odlyzko, A. M. 1998) The internet market has continued to grow substantially year on year as technologies change and more and more parts of the world come on line. On the other hand, an extraordinary phenomena is taking place throughout the world which is almost totally contradictory to the doctrine of the free market and capitalism, and that is the culture of exchange and gift economy that is developing and becoming more possible through the use of the internet and social software. A gift economy can be defined as a means in which goods and services are exchanged without there being an agreement of a reciprocal return to the giver. Most anthropological academics, however would agree, although there is no implicit need for a return gift there is often an expectation of reciprocity. Marcel Mauss in his classic work "The Gift1" argues that gifts are never free and that the act of giving creates a social bond that requires obligation to reciprocate on part of the recipient. This reciprocity however is not however solely between two people but between group, tribes and communities. Further studies challenge the idea that reciprocity is an inevitable outcome of exchange and focus on the classification of different types of reciprocity. For the purpose of

Sunday, September 22, 2019

Foundations of Behavior Essay Example for Free

Foundations of Behavior Essay The field of psychology is expanding and credit is due to the numerous research studies being conducted. These research studies utilize different methods and each method has its own advantages and disadvantages. In this paper, five popular research methods will be compared based on their characteristics, objectives, strengths and weaknesses, research techniques, validity, and reliability. These research methods are case study, naturalistic observation, survey research, correlational research, and the experimental method. The case study is a focused study on a person or a specific group or a particular situation. Its research design involves five components, which are the study questions, the propositions, the units of analysis, the logic linking the data to the propositions, and the criteria for interpreting the findings (Tellis, 1997). Case studies have varying purposes. Some case studies are conducted to either confirm or challenge an existing theory, while others are carried out to describe either a special or an extreme case. A case study obtains information from documents (letters and newspapers), archival records (service records, survey data), interviews, direct observation (done when field visits are needed), participant-observation, and physical artifacts (instruments and tools). One of the most established techniques in case studies is called pattern-matching, in which the data is linked to propositions. The reliability of case studies is relatively high, especially when protocols are established. However, validity, especially construct validity, sometimes becomes questionable because the researcher might be subjective in his decisions and interpretations. This can be minimized by utilizing multiple sources, by setting up a chain of evidence, and by asking major informants to review a draft of the case study. The common criticism against case studies is that its results cannot be used to arrive at generalizations. But the greatest strength of case studies is that it can present an in-depth and holistic knowledge about a particular situation, group, or person. The naturalistic observation is unique from all other types of observation in that the researcher does not hinder, interrupt or influence the environment being studied. One of the vital things to consider in conducting naturalistic observation is to record as much detail as possible, which includes smell, sound, taste, time, place, number of participants, and feelings. This is why journals and a variety of writing materials are utilized. But the use of any recording device, such as video cameras, is not allowed because it violates the privacy of the observed individual. The reliability of this research method relies on the accuracy of observation. One technique of increasing reliability is to have several observers (Hesse, 2003). The greatest advantage of naturalistic observation is that it is considerably less expensive than other methods. But, the subjects being studied may act differently because of their awareness of the presence of the observer. This will significantly reduce the validity of the results (Piercy, 2007). The survey research is characterized by its major means of collecting information. The researcher usually goes out and asks questions. The questions can be oral or in written form. And the respondents can be chosen in many ways. Some respondents are chosen at random while others must possess certain characteristics. For example, if a survey research is about elementary teachers, then a high school teacher will not be asked to answer the questionnaire. The techniques involved in survey research lie in the analysis of the collected data. The reliability and validity of survey research are affected by several factors, such as the quality of the sets of questions or the questionnaire, the amount of data collected, and the accuracy in using measures of central tendencies and variability. Ideally, the questionnaire must be standardized. Greater reliability and validity is achieved if the sample represents a greater part of the total population. One advantage of the survey method is that it is relatively cheap and easy. Unfortunately, it is also subject to human error and biases (Government of Saskatchewan, 2002). The correlational research is essentially the discovery of a relationship between two variables. Unlike the previously described methods, correlational research is quantitative in nature. The different techniques used in a correlational research are regression and prediction, multiple regression, factor analysis, and systems analysis (Davis, 2004). The greatest advantage of using this method is that its results can be used to formulate predictions and generalizations. This is due to the nature of the research techniques. But the greatest danger of this method is to over-generalize. It must be remembered that an established relationship between two variables does not mean a cause-effect relationship between them. If a researcher wanted to establish a cause-effect relationship, then the research method to use is the experimental method. Similar to the correlational research, it is concerned with variables, which can be either independent or dependent variables. The independent variables are usually manipulated so that there will be two groups being studied, the experimental group and the control group. These two groups have the same characteristics except for that one variable which is being tested. The difference between these two groups can be found in the dependent variable. The reliability of this method is increased by conducting the same experiment for several times. Its validity lies in the accuracy of the procedures and the careful handling and analysis of results. The greatest advantage of the experimental method is that it can present an explanation to a certain phenomenon. But it takes great skill and experience on the part of the researcher in order to conduct a good research experiment. One problem of experimental method is the issue of ethics in conducting experiments using human subjects. Any of these research methods can be utilized to examine an issue or phenomenon in psychology. The basis of choice usually depends on the goal of the research. The task of the researcher is to maximize the advantages and minimize the disadvantages of the chosen method. Bibliography Davis, J. (2004). Correlational research methods. Retrieved October 12, 2007 at http://clem. mscd. edu/~davisj/prm2/correl1. html Government of Saskatchewan. (2002). Psychology 20: Social Psychology: A Curriculum Guide for the Secondary Level. Retrieved October 12, 2007 at http://www. sasked. gov. sk. ca/docs/social/psych20/support_materials/faqnaturalistic_observation. htm Hesse, B. E. (2003). Issues in naturalistic observation. Retrieved October 12, 2007 at http://psyc. csustan. edu/bhesse/psy2020/Lectures/Fall03/p2020U2L5. pdf Piercy, J. (2007). Research methods. Retrieved October 12, 2007 at http://courses. cvcc. vccs. edu/Psychology_Piercy/research_methods1. htm Tellis, W. (1997). Introduction to case study. The Qualitative Report. 3(2). Retrieved October 12, 2007 at http://www. nova. edu/ssss/QR/QR3-2/tellis1. html

Saturday, September 21, 2019

Television Drama And Its Narrative Complexities Media Essay

Television Drama And Its Narrative Complexities Media Essay This assignment will examine the extent to which quality television drama is conceptually adventurous and narratively complex. By doing this, I shall use the television series, 24 as a case study. It will also demonstrate the relationship audience has with quality television and its complexities in its narratives. This assignment will endeavour to support all points and observations by appropriate scholarly research including work by John Peacocks Reading 24: TV against the clock and other various authors from the bibliography. The term quality television is very critical if it is used in an important perspective or within theoretical matters of television categories. It took on an added detailed implication when it was raised by television academics in the institute when they tried to clarify the defining features of broadcasts that gain quality characteristics. There is the theory that quality television is public television which is television broadcasts where the country is completely uncomfortable while it articulates itself, its past and unclear prospect (Bronk, Simons and Elsaesser, 1994: p.66). There is also the theory that a genre in drama is the quality television standard. Quality television has production expenditures, entertainment significances, performance and scripting which appeals mass audiences (Bronk, Simons and Elsaesser, 1994: p.66). The broadcast resilience is a subsequent importance of stylishness which presents and signifies the quality classification that frequently characterizes t he self-confident ability of those who produces certain broadcasts. Therefore, quality enhances a procedural requirement but furthermore establishes an institutional and independent requirement. If quality television can be defined by an educated medium, then television producers can comprehend what a good broadcast should be (Bronk, Simons and Elsaesser, 1994: p.66). Quality television materializes as a way of producing television programs. It originates from a reproduction on what has succeeded suitably from history and how it could be developed. Certain definition has suggestions and one of them is that quality television is pricey. Suitable money provision obtains modern equipment and pays for good performers, directors, writers and producers. It confirms high-quality production costs. This definition is institutional but it insinuates that quality television cannot be defined by a particular broadcast whether it is reliable by a specific genre. The broadcaster asserts that qual ity should have a general broadcasting procedure like an intense timetable (Bronk, Simons and Elsaesser, 1994: p.67). Quality television is created in a variety of various genres broadcasts which appeals to different kinds and sizes of audiences at different times of the day. Quality television is furthermore a television signal to high-tech advancement which allows an expensive artistic representation and improved sound model. The importance on high-tech advancements may highlight the quality television explanation by a specific broadcast production constitution and its delivery across reputable institutions that obtains both stability and creativity of producing television programmes but certain creativity may theoretically be attained through liberalization and a circumstance because a mass of channels is provided by a variety of independent producers to confirm a range of broadcasts while they focused themselves onto a mixture of audiences (Bronk, Simons and Elsaesser, 1994: p.6 7-p.68). By arguing and explaining peoples view of quality, it requires the exploration and argument of certain broadcasts or its tactics. If this is to be succeeded, involvement from television producers, audiences and reviewers would be essential. People will understand quality television needs an ongoing social discourse regarding the medium. Examples of Quality Television are series such as Seinfeld, Law and Order, The Sopranos, Ally McBeal, The X-Files, NYPD Blue and ER. These series are popular American Quality Television among other series that comes into view of audiences. In order for these series to come into the audiences view, exhilarating and pristine creation will be essential to appeal the audience and market publicity if there are cable stations and networks (Akass and McCabe, 2007: p.117). Local production will maintain to produce the predominant audiences globally. Nevertheless, the digital channels creation indicates that there will always be high-quality global broadcasting. Operating commercial channels finances confirms that broadcasting which appeals to high-class audience with sufficient expenditure influence will continuingly be the highly appealing choice for a consumer. That is why creative television series from the United States are developed. There are variations in program releases, new product ion approaches, financial redistribution centred around product impartiality and promotion diversity and the development to the fame of Home Box Office (HBO) which was centred around a totally distinct commercial representative than main broadcast networks such as ABC, NBC and CBS along with their associations and the nations respective stations which all marketed specific audiences to promoters (Akass and McCabe, 2007: p.3), (Lavery, Howard and Levinson, 2011: p.8). The broadcasting on HBO is not only restricted to high-end cable consumers but it also influences non-cable audiences. In the modern period, targeting specific niche audiences expendably and differently from creating a mass audience, HBO wanted elevated production benefits with excessive funds to endure costly shooting techniques and post-production editing but it associates itself with the modernist instead of popular, cinematic custom, classifying itself as an artistic style because it is at the high-end of parent com pany, Time-Warners range but its slogan is Its Not TV. Its HBO describes its quality sign and it defines the network period after 1996 (Nelson, 2007: p.180), (Akass and McCabe, 2007: p.3). This statement has included an analysis of the whole American commercial television structure. It has gained disparagements as it opposes the disrespectful movement of daily television. HBO was securely isolated from commercial television disruptions but nevertheless, HBO drama audiences are allowed to separate themselves from the television programming characteristic styles (Edgerton and Jones, 2008: p.25). All program networks are obliged by government ruling and associated agreements with partner stations and promoters to present a wide program facility that amasses the audience through a public and demographic variety classification (Edgerton and Jones, 2008: p.31). While HBO never used this model, other broadcasters have defended their company model that employs broadcasting to produce numero us customers to promoters as they see variations in media skills and culture. There are principles for quality television which alternates the stylistic self-reflexivity and liberal humanism to the ensemble cast, series fusion, complex character-based narratives and serialized construction (Peacock, 2007: p.15). It also involves debatable themes and is clear that quality television targets an organization with cinema as a better art quality characteristic to television as the quality genre developed. By the 1990s, quality television developed an important term settling with finances and aesthetics to become a genre within itself (Peacock, 2007: p.15). The cinematic filmic style may be the most important clear quality television feature. It has succeeded narrative complexity as the popular American television main characteristic by the late 1980s and early 1990s. Established quality television genre models have broadcasted their feature with evident recognizable cinematic filmic styl e which can be understood as a deliberate difference to the regular television broadcasting impassive style (Peacock, 2007: p.16). What quality television might be meant by conceptually adventurous is that television broadcasting is generally intense with adventure representations and the themes where people can relate to adventure. Television is always regarded as a writers medium and it establishes antagonism between an aesthetically traditional television principle as determined by dialogue and character as well as a more adventurous significance in style and narrative mode in cinema. Adventurous cable broadcasting and new markets have stimulated progression (Douglas, 2005: p.26). It has furthermore revolutionized television programming and presented new openings for writers. There are also rising audience division on specific cable networks which allowed niche broadcasting that would never be part of the three networks which limited casting is making adventurous and high quality shows such as Battlestar Galactica on the Sci-Fi channel, The Shield on FX and Dexter on Showtime. They generally run for an hour e ach week and keep the audience in suspense and guessing as to what would happen on the next episode. This strong timing, real-time importance and ticking clock all aided to tie the week-long inequality between episode programming and conceal the narrative combined in a series way (Peacock, 2007: p.20). Modern broadcasts targets audiences interests outside the limited timing television hour structure. They aim to appeal audiences that give themselves completely on their preference viewing. Quality television drama series are presented once a creative idea infiltrates the thoughtful industry activity. It is believed that drama has to be conceptually adventurous because without it, itll lack the quality expectations audience will be hoping for. There are other quality television characteristics which help the audience appreciation and action such as its scholarly consumption, fluent, specialized and perceptive speech, complex narrative construction and its rapid style (Akass and McCabe, 2007: p.26), (Richardson, 2010: p.22). People are carried between scenes and instances. This means more innovative concept and industrial talent are advanced. It also confirms the requirement the audience focuses (Akass and McCabe, 2007: p.27). This action complexity is regarded as another high quality television characteristic. It also puts the audience in the situation where they elevate when making a decisive conclusion. Every broadcast helps people explain and value it. Television series became more complex as it engages more actors and narratives which uses from one episode to few years to finish. From the year 2000 and onwards, American television drama has been creative and it has also been highly remarkable at the high-end of the series and its topic which lasts one hour long. This is assisted by the evident achievement of suggestive authorized cable models. American television drama episodes can cost over US$3 million respectively while these drama that lasts one hour long includes a variety of broadcasting styles and costs (Bonner, 2011: p.3), (Grant and Wood, 2004: p.127). American television drama is one example as to why it is conceptually adventurous and narratively complex because it is frequently invented by producers that has auteur recommendations who also employs 35mm film or its digital equivalent to attain a cinematic quality (Akass and McCabe, 2007: p.43). But before the year 2000, high-end American drama series costs was normally exploited by broadcast networks as the vital market share and profits diminished this drama genres excessive expenditure suggestion s. This broadcast drama was innovatively controlled by the safety first traditional content that institutions are afraid to acknowledge the marketable possibility of actual innovative investigation (Hoffmann-Riem, 1996: p.103). Broadcast drama was additionally restricted by overwhelming instant achievement anticipations. One purpose is to accumulate sufficient episodes to increase association and new back-end incomes if it produces the vital ratings by occasionally exaggerating efforts to extend its life and success. Network hesitancy remains putting many innovative restrictions on television drama production with certain reflections approaching deeply on program fees. For the last fifteen years, American prime-time dramas have deeply trusted complex tactics of episodic fiction to confirm the audiences constant venture in their narratives (Akass and McCabe, 2007: p.133). This is because it functions in a television view that is distinguished by the rising struggle between various me dia structures. For the last two decades, American television drama has been narratively complex which exploits the structured series probabilities. It highlights constant descriptive series upon limited episodic  plots (Akass and McCabe, 2007: p.26). Consequently, these series incline to accumulate complex narrative of background contexts and character relationships which is why they ask their audiences to participate. One genre which is crucially narratively complex is conspiracy dramas. American television drama narrative tactics are more understandable if people theorize them as conspiracy narratives because serials that features narratives of protagonists trying to reveal and end the evil operations of antagonists. These series intend on producing a  specific manner of television viewing where a functioned and alerted audience actions requires an inclination to involve the descriptive narrative theory and carefully listen to the elements by observing the conspiracy narrative rationalities. American television drama can be understood as a distribution to certain narrational mode and be reflected as a clear subdivision of  narratively complex programming (Vest, 2011: p.209). However, the narratively complex television series structure lets the narrative rationality of conspiracy to release its possible serial as it benefits flexible narrative paths basically because television series become lucrative the longer they stay on air. Series that utilizes certain  conspiratorial narrative structure also get additional complex characteristic of  conspiracy fictions. This presents a  significant difficulty which may justify the diverse audience responses to the conspiratorial series concluding episodes particularly for lengthy series. It directs people to the fundamental theories of series narration as an industrial structure which was always acquiring durable profit issues than in classical stylistic, credibility and consistency models. Conspiratorial television series help certain actions and user activity in online forums that is devoted to specific series debate in the modern era confirms this assertions rationality by welcoming their audiences to investigate their narrative complexities. It is clear that not every serial that endorses the conspiracy narrative rationalities trust the comparable elaborate tactics to help the audiences theory. Nevertheless, these series reveal the understanding that the narrative complexity suggestion is a main feature in the endeavour to initiate the audiences and cultivate their devotion to the series. The television programme, 24 is one example of quality television and conspiracy narrative program. It is one of the infrequent series to experience vital and commercial achievement from its launch as it is fascinating, sophisticated, creative and appealing (Peacock, 2007: p.13). However, the series argues the current quality television classifications through its persistent and creative aesthetics utilization and basic skills. 24 has successfully qualified as quality television by merging these recognized conspiracies with modern conceptual involvements. The series also uses and underlines both cinematic and videographic methods in its quality. 24s interest to cinematic quality is directly evident in all practical scenes. The show is shot on 35mm film and framed for 16:9 widescreen productions, media and structure which is nevertheless more generally linked with cinema than with the 4:3 quality part of American television (Peacock, 2007: p.16). 24 has showed cinematic filmic charact eristics which was frequently admired in long-established quality television. The series is also exclusive because the producers like the videographic quality. It has influenced audiences and critics with the video effect focus like digital clocks, on-screen text and the internet at the beginning. 24 may be the most videographic modern dramatic television broadcast because it not only uses videographic features as its mark quality and it still progresses to this point to contain its cinematic movements in a videographic context (Peacock, 2007: p.18). The series cinematic sequences are frequently dealt videographically whether it is split on screen or connected in real-time used filmic. The split-screens and ticking clocks on the series mainly understand the basic real-time vanity. The formulated numerous phone rings also appear to be more exciting. These are the main quality features that use videographic features as a characteristic show aesthetic in the clear narrative mass consti tution. The extremely strategized and clear cinematic shooting quality is important to 24s filmic influence but it is the videographic aesthetic indications that underline the broadcasts objectives. 24 actively markets videographic as a sign of its personal quality and complexities that benefits the cinematic. The serial videographic improvement transcends new quality television indications as these aesthetic metaphors can be understood more as an instinctive televised aesthetic style (Peacock, 2007: p.18). 24s narrative hour concurrence and televised broadcasting hour trusts an accurate series production as every final moments in an episode is understood to produce clearly to the starting moments of the next (Peacock, 2007: p.19). 24s high-quality stylistic construction clearly argues that the quality broadcast practicality highlights the seriality over the episodic. 24 also underlines this basic superiority constantly because the conflicted series narrative is widely motivated by its construction than within the complexity of its characters and story. The series title benefits the dramatic narrative construction which highlights the title (Peacock, 2007: p.19). The one day incidents are also told one hour at a time. This importance on time achieved mainly through aesthetic filmic and aural tactics as it is made to attain an enhanced concern and action-packed meaning. All narrative features of 24s individual seasons are always functioning with this ending comparing to the limited accessible diegetic offered to more quality dramas. For each season, 24 is always added by the friction between the sincere two or three influential storylines for the whole season that get settled and traded in each of several episodes. The hour-by-hour mysteries were also clocked so that many experiences concur and the seasons conclusion assured the ending (Peacock, 2007: p.20). This causes friction through the construction and the narrative also caused a friction through the consp iracy story. These are the conflicts that are operated and highlighted by the broadcasts aesthetics where the split-screens suggest numerous storylines, narrative gaps and ticking clocks. The shows frequent real-time evident assertions need an insistent meaning and an approaching ending. 24s basic quality innovations insisted the current quality characterizations and can be understood as an impulsive utilization and clearer analysis of twenty-first centurys television constructions (Peacock, 2007: p.21). The series appeals interest to the fanatical televised time limits and the obsession with these limits which are frequently focused. 24 can be categorized as conceptually adventurous because it uses the main action-adventure series quality features which combines common characteristics such as series consisting genres of action-adventure, spy, crime, detective and thriller (Peacock, 2007: p.164). All these genres identify an array of qualities which contain an inclination for substantial dramatic action and a narrative construction including eruption, pursuing and conflicts. Numerous joint storylines of 24 evidently explain that modern television drama narratives trust complexities which includes some plots and characters to keep their audiences appealing. The highly important series characteristic merges a clear construction with the real-time structure utilization (Evans, 2011: p.117). Program series operates in 24 as far as specific episodes distorting simultaneously. The narrative operates throughout a series of episodes until the season finale. This is linked with a complex narrative which can be discovered in the quality television discussion. 24s fourth season has convincing associations to complex narrative (Evans, 2011: p.119). Many narrative features linked in every episode is not determined. The primary Danger narrative is highly outstanding. It centred on the seasons antagonist, Habib Marwan and featured the defence secretary, James Heller being abducted, the atomic power plants destruction, the Air Force One terrorism and the Chinese mission assault which initiates its government to pursue vengeance on Jack Bauer (Evans, 2011: p.119). Furthermore, it featured Jacks relationship with Jamess daughter, Audrey, Erin Driscolls daughters suicide and the alienated romantic relationship between Michelle Dessler and Tony Almeida in Season 2. 24s audience also enjoyed obtaining the advantage to participate with specific complex and frequent stimulating narratives (Evans, 2011: p.119). The series is characterized by audiences from insignificant television broadcasts by its complex narrative construction especially with the way the narrative alters melodramatically. 24s skill to modify emphasis and introduce new narrative storylines is important to the audiences interest. By now I believe I have examined the extent to which quality television drama is conceptually adventurous and narratively complex by using the television series, 24 as an example. 24 have demonstrated the quality that fascinates the audience. It is clear that a lot of money was invested into the program to provide the best service to the audience. The adventurous style and complexities have certainly helped the weekly ratings because the innovation that was produced in the series has brought the audience into excitement which clearly defines what quality television is. I believe the term quality television is what the audience make of it as it is determined by what they think of a specific program. To achieve the audiences expectations, it is important to provide the best facilities such as cinematic technologies and networks that can help promote the program. Bonner, Frances. Personality Presenters: Televisions Intermediaries with Viewers. Farnham, Surrey: Ashgate, 2011. Print. Douglas, Pamela. Writing the TV Drama Series: How to Succeed as a Professional Writer in TV. Studio City, CA: Michael Wiese Productions, 2005. Print. Edgerton, Gary R., and Jeffrey P. Jones. The Essential HBO Reader. Lexington.: University of Kentucky, 2008. Print. Elsaesser, Thomas, Jan Simons, and Lucette Bronk. Writing for the Medium: Television in Transition. Amsterdam: Amsterdam UP, 1994. Print. Evans, Elizabeth. Transmedia Television: Audiences, New Media and Daily Life. New York: Routledge, 2011. Print. Grant, Peter S., and Chris Wood. Blockbusters and Trade Wars: Popular Culture in a Globalized World. Vancouver: Douglas McIntyre, 2004. Print. Hoffmann-Riem, Wolfgang. Regulating Media: The Licensing and Supervision of Broadcasting in Six Countries. New York: Guilford, 1996. Print. Lavery, David, Douglas L. Howard, and Paul Levinson. The Essential Sopranos Reader. Lexington: University of Kentucky, 2011. Print. McCabe, Janet, and Kim Akass. Quality TV: Contemporary American Television and beyond. London: I.B. Tauris, 2007. Print. Nelson, Robin. State of Play: Contemporary High-End TV Drama. Manchester: Manchester UP, 2007. Print. Nelson, Robin. TV Drama in Transition: Forms, Values, and Cultural Change. New York, NY: St. Martins, 1997. Print. Peacock, Steven. Reading 24: TV against the Clock. London: I. B. Tauris, 2007. Print. Richardson, Kay. Television Dramatic Dialogue: A Sociolinguistic Study. New York: Oxford UP, 2010. Print. Swanson, Dorothy Collins. The Story of Viewers for Quality Television: From Grassroots to Prime Time. Syracuse: Syracuse UP, 2000. Print. Taylor, T. Allan., and James Robert. Parish. Career Opportunities in Television and Cable. New York: Ferguson, 2007. Print. Vest, Jason P. The Wire, Deadwood, Homicide, and NYPD Blue: Violence Is Power. Santa Barbara: Praeger, 2011. Print.

Friday, September 20, 2019

Aboriginal Beliefs Essay -- essays research papers

The Aborigines had, and still have, a complex belief in creation, spirits and culture, that gives a definite distinctiveness from any other religion in the world. Thousands of years ago, Australian Aboriginal people were living in accordance with their dreamtime beliefs- today, a majority of the Aboriginal community profess allegiance to Christianity, and only 3% still adhere to traditional beliefs. These beliefs have provided the Aboriginal people with guidance and perspective on all aspects of life. There were many variants to these beliefs and practises throughout the many Aboriginal tribal areas, but all Aboriginal people have developed an intimate relationship between themselves and their environment. They see themselves as spiritually bound to the natural world. The basis of Aboriginal religion revolves around their sacred mythology known as “The Dreamtime';. The Dreamtime specifically refers to the period of time when the creators made the territory of a tribe and all it contained. It was a period when patterns of living were established and laws were laid down for human beings to follow. The Dreamtime is linked with many aspects of Aboriginal practise, including rituals, storytelling and Aboriginal lore, and explains the origin of the universe, the workings of nature and the nature of humanity, and the cycle of life and death. It shapes and structures Aboriginal life by controlling kinship, ceremonial life, and the relationship between males and females with a system of responsibility involving people, land and spirits. The aim or objective of traditional Aboriginal people was to live the exact lifestyle that had been created for them by the creators thus, the Aboriginal people strive to perpetuate and continue the never ending dream ing. The creators were the ancestors of all living things, including the Aborigines themselves. Sometimes human, sometimes animal, they were possessed of miraculous powers. Their deeds on earth are enshrined in Aboriginal mythology and are closely associated with animals and other features of the natural environment. Each tribe had it’s own creation myth. For example, the people of the Arunda tribe believed that the spirits cut them from the earth in the Dreamtime. Originally, myths, or Dreamtime stories, were not expressed simply in verbal or written form but were enacted, chanted, painted, cost... ... new growth. Food taboos and totemism had the effect of protecting animal and other species because some people were not permitted to eat certain foods and a person could not always eat their own totem. This had the effect of providing a safe environment for particular species. Many sub-tribes moved around their land following the food chain cycles. This meant that they never stayed in the one place where they could extinguish the food sources. In some tribes particular beliefs were held about dangers that could threaten the life of animals or birds. One tribe (the Wiimbaio) were afraid of blood falling into lakes or rivers, incase storms or other disasters would result, and would kill the fish. Aboriginal beliefs are expressed in a number of ways, including their Dreamtime practices, such as stories, art and corroborees, and rituals, such as initiation, birth, marriage and death, as well as the Aboriginal lore. Such a complex and unique outlook on the universe and humans, and with the assistance of their ability to continue their practices through hundreds of generations, allowed the Aboriginal belief system to evolve to be one of, if not the, oldest surviving race in the world.

Thursday, September 19, 2019

Pakistan Essay -- essays research papers

Pakistan: Foreign Policy Pakistan, a land of many splendors and opportunities, a repository of a unique blend of history and culture for both the East and West has been the cradle of one of the oldest civilizations. The Indus valley, is the ninth most populous Area in the world, with 134 million tough, conscientious, hard working people wishing and striving hard to enter into the 21st century as equal partners in the community of the different developed nations. During the last 20 years Pakistan's economy has been one of the fastest growing in the world-the seventh fastest in Asia (www.forisb.org/fpolicy). Pakistan's economy has been becoming large on a worldwide scale, with the annual gross domestic product growing at more than six percent a year. It is now a member of the Economic Cooperation Organization, and the South Asian Association of Regional Cooperation (www.forisb.org/fpolicy). Pakistan is strategically located in close proximity to the affluent Middle East. It is in position geographically to be a gateway of trade for many land-locked countries, such as Afghanistan and those of central Asia. It is also in proximity to the enormous East Asian Markets. The trade relations of Pakistan have been very diverse, for trade has been opened between them and countries in the Middle East as well as the Far East. The trade policy in Pakistan has been dramatically changed over the last few years. One of the main policies for trade through Pakistan is†¦ in order to decrease man...

Wednesday, September 18, 2019

Dominique LaPierres The City of Joy Essay -- Dominique LaPierre City

Dominique LaPierre's The City of Joy â€Å"His suffering was transformed into surprise then peace, the peace that comes from being loved† (C.O.J. p. 254). In the book the City of Joy, Hasari, Mother Theresa, Stephan Kolvaski and Max Loeb all experienced the joy and helpfulness that comes from being loved. Their problems and troubles through out the book help them to understand how to make it through tough times. Examples from this book and life show that modern medicine is not always the best way to help the sick or injured. Peoples love and kindness for each other is the most valuable gift you can give someone. â€Å"This city isn’t all that inhuman† (C.O.J. p. 82). Hasari said this when he was able to become a rickshawpuller. When Pam Chander befriended Hasari he saved him and his family from starvation. Ram showed Hasari that there was a still king person in a city, that was thought of as cruel. After Hasari started his job he was able to feed and buy treats for his family. Ram and Hasari’s friendship continued to grow while working together. They also continued to help each other out in times of need. Ram Chandler not only got Hasari a job, he helped teach him about the rickshaw business and life in Calcutta. Ram showed Hasari where to get business and how to help the soreness from pulling. Another thing he taught Hasari was how to hide any illness he got. Ram also reminded Hasari how lucky he was to have what he did have. â€Å"Good old Ram, there wa...

Tuesday, September 17, 2019

Malayan Campaign – the Matador Plan

MALAYAN CAMPAIGN – THE MATADOR PLAN INTRODUCTION â€Å"Unfortunately, it has come to this, that either Japan must stop her expansion, or England must willingly give up some of what she has or hopes to have. Therein lies a cause for war. † Lt Cdr Tota Ishimaru, Imperial Japanese Navy 1. The fall of Malaya and Singapore to the hand of the Japanese is a tremendous sign that showed the failure of Operation Matador. In this battle study, there are chronology of events that will guide us very closely in knowing and understanding the reason why this operation failed to meet its objectives.In doing the research on the background of the battle of Malaya and the relativity to the Operation Matador, our syndicate members came across a reference to a plan of action for the defence of Singapore codenamed â€Å"Matador†. In fact there were two plans, so totally different, that in the end they contributed to the downfall of Singapore. Both had their weaknesses and one of the ma jor ones was the lack of co-ordination and command between the Army, Navy and Air Force. The other and more serious was a clash of ideals.The drawn-up plan was Land based Matador and Sea Based Matador. 2. From the research done, Operation Matador is not the sole reason for the fall of Malaya or even Singapore, besides there is some other reasons that had been identified as a contributing factor as well. This has been discussed in detail under the column of Battle Analysis. An examine on the lesson learned from this battle study would benefit the most as it focuses more on principles of war that will teaches us how, why, when and where it is applicable for an action plan taken at one time.AIM 3. This paper will examine two main part of the whole study on Matador Plan. The first part is to analyze the incidents that occur prior and upon the operation called The Matador Plan. Secondly, it is fundamentals to determine the lessons learnt and the effects on both forces. OBJECTIVE 4. The m ain objective of this battle study is to meet the requirement of the EOBC serial 28/2006 and secondly is to learn and adapt the knowledge of the war history generally on the Malayan Campaign and specifically the Matador Plan.In this way the young officers would be able to use battle study as a comparison between previous and present state of battle warfare in order to meet any circumstances and decision makings in the near future. SCOPE 5. Scope of discussions are as follow: a. Background. 1)Pre-war examination. 2)Forces involved. 3)The Attack. b. Matador Plan. 1)Land Based Matador 2)Sea Based Matador c. Chronology of events. d. Analysis on factors and effects. e. Tactical aspects applied. g. Lesson Learnt. h.Conclusion. BATTLE BACKGROUND PRE-WAR EXAMINATION 6. Before we look further into the Matador Plan, the fundamental or the main causes that inflict the war in Malaya should be given a consideration as it may be very useful in understanding the battle study. The battle in Malaya was a conflict between British Commonwealth forces, comprised of British, Indian, Australian and Malayan units, and the Imperial Japanese Army from December 8, 1941 until January 31, 1942 during the Second World War.Prior the attack by th Japanese forces, the British government's plans relied primarily on the stationing of a strong fleet at the Singapore Naval Base in the event of any enemy hostility, both to defend Britain's Far Eastern possessions and the route to Australia. At this time tension mounted in the region folowing the outbreak of the European war and the French in Indo-China clashed with the Thais. The Japanese make use of this as an oppurtunity with the increase on aggression over the region as well. 7.Upon the completion of the Singapore Naval Base and airfields on Singapore Island with other constructions on the Malayan Peninsula was underway, it was decided by the Air Ministry in London that was a right time to provide a fighter force for the area, even though few could be spared from the defence of Britain and her offensive in the Middle East. However, a threat to British and American possessions in the area was not considered to be imminent, as revealed in a letter from Prime Minister Churchill to US President Roosevelt, dated 15 February 1941: I do not myself think that the Japanese would likely to send the large military expedition necessary to lay seige to Singapore. The Japanese would no doubt occupy whatever strategic points and oilfields in the Dutch East Indies and thereabouts that they covet, and thus get a far better position for a full-scale attack on Singapore later on. They would also raid Australian and New Zealand ports and coasts, causing deep anxiety in those Dominions, which had already sent all their best trained fighting men to the Far East†. 8.In October 1940, Air Chief Marshal Sir Robert Brooke-Popham was appointed Commander-in-Chief Far East, and the G. H. Q. Far East opened at Singapore on the 18th November, 194 0. The Commander-in-Chief was responsible for the operational control and direction of training of British land and air forces in Malaya, Burma and Hong Kong, and for the co-ordination of plans for the defence of these territories. It also includes the control and training of British air forces in Ceylon and of reconnaissance squadrons in the Indian Ocean and Bay of Bengal.His headquarters was an operational one, not administrative, and had no control over any naval forces. So Brook-Popham the man in charge on the spot had little control over the immediate military situation. Also just as important, he had no authority over the Civilian population in case of an impending war. This came under the direct control of Shenton–Thomas the Governor of Singapore, and to all intents and purposes he had absolute control. The only recourse Brook-Popham had to any control of the forces was directly to the Chiefs of Staff in London. FORCES INVOLVED 9.In November 1940, the army strength in Malaya was 17 battalions, with 1 mountain regiment of artillery. Reliance for the defence of the Far East was to be placed on air power until the fleet was available but it was the Governments policy to avoid war with Japan. The strength of the air forces in Malaya in November 1940, however, was only 88 first-line aircraft, of which only 48 could be counted as modern. The previous month, the Singapore Conference had recommended a strength of 582 aircraft for the Far East but it was admitted that this was an ideal, and far beyond the bounds of practical possibility.In May 1941, Lieutenant-General A. E. Percival had been appointed General Officer Commanding, Malaya Command, and with it a motley collection of 85 000 British, Australian, Indian and Malayan troops. 10. When in July 1941, the Japanese spread into southern Indo-China, the potential danger to Malaya and Burma increased, as the move gave them a naval base within 750 miles of Singapore and airfields only 300 miles from Kota B haru, the nearest point in Malaya. By the latter part of November, 1941, information accumulated which showed that an early Japanese attack was likely, despite the negotiations in progress in Washington.Both land and air reinforcements had been reaching Malaya, and by 7th December, the eve of the Japanese attack, there were 158 first-line aircraft available, with 88 in reserve; the land forces counted 31 infantry battalions, plus the equivalent of 10 volunteer battalions with some artillery, engineers, and a small armoured car unit, and 5 battalions of Indian States forces, with 7 field regiments 1 mountain regiment, 2 anti-tank regiments, 4 coast defence regiments and five anti-aircraft regiments of artillery and 10 field and 3 fortress companies of engineers – a total strength of close on 85,000 men.Almost one quarter of them were British, about one-sixth Australians, nearly one-half Indian Army, and the remainder local forces. 11. Even then, the R. A. F. Far East Command w as not in a position to fulfill its responsibility of being the primary means of resisting Japanese aggression, while the Army strength was far short of what was required to compensate for the deficiency in aircraft. There were only two-thirds the number of infantry required, no tanks and few armoured cars, and the lack of mobile anti-aircraft guns was serious.The Japanese Order of Battle remains unchanged throughout the course of the Champaign. The Japanese 25th Army consisted of 36,000 men plus air power, naval support and artillery support from the mainland, plus 100 tanks. Even though the Japanese soldiers were not as many compared the British forces they were significantly superior in close air support, armour, co-ordination, tactics and experience, with the Japanese units having fought in China.The Japanese had slightly fewer aircraft, their fighter aircraft were generally superior and achieved air superiority. THE ATTACK 12. Earlier the British had plans in place to forestall Japanese landings in Southern Thailand but Air Chief Marshal Sir Robert Brooke-Popham, the Commander-in-Chief of the British Far East Command refused permission to launch Operation Matador and Operation Krohcol in advance of the Japanese attack, not wishing to run any risk of provoking the coming war. 13.Incredibly, as late as 29 September 1941, it was still believed by British military and civilian leaders in the Far East that Japan was committed to concentrating forces against the Soviet Union, and it was therefore improbable, so it was argued, that she would at the same time take on Britain, the United States and the Netherlands. By mid-November 1941 the official assessment was that war would not come until March 1942. The Japanese decided otherwise. Now the Japanese has really been on an invasion plan to attack the Malayan Peninsula and take over Singapore with a well planned tactics and operation. 4. On 7 December 1941, a British Hudson reconnaissance aircraft spotted Japanese naval vessels 100 miles/160 Km north-east of Singora with others steaming towards Patani. Despite this clear act of war by Japan, ‘Operation Matador' was not fully launched. Even so, the advance to The Ledge could, and should, have been immediately ordered. This was not done. As a result, an invaluable twenty four hours was lost during which time the Japanese forces landed and the British lost a most valuable opportunity.If they had held The Ledge, the invasion could have been delayed even though the landings could not have been prevented. 15. On the next day it was reported that Japanese troops were attempting to land at Kota Bharu and at the same time Singapore suffered its first air raid. War had come to Malaya. On 8 December the Japanese attacked the British air bases in Malaya with the devastating result that by the end of the day a mere 50 British aircraft were operational, the rest being destroyed. Those still operational were immediately ordered back to Singapore.Thus , on the first day of the attack Japan obtained total air supremacy over Nothern Malaya. The naval Force Z, consisting of the battleships HMS Prince of Wales and HMS Repulse, together with four destroyers, and commanded by Admiral Tom Phillips had arrived right before the outbreak of hostilities. Later the Japanese came to realised the presence of the battleships and its marching to the Northern Malaya. Two days later, on 10 December, the battleship Prince of Wales and the battle cruiser Repulse, the only Royal Navy capital ships in the Far East, were sunk by Japanese torpedo-bombers off Kuantan. 16.The negative effect of the sinking of the Prince of Wales on British morale throughout the world was serious, with a concomitant boost to Japanese morale. By this single stroke Japan gained complete naval command of the South China and Java Seas and a large part of the Indian Ocean by leaving the east coast of Malaya exposed and allowing the Japanese to continue their landings. The drift to war by the Japanese met its objectives by the invasion of the Malayan Peninsula subsequently the Singapore Island. MATADOR PLAN 17. What is Matador Plan? What is the relativity of the drawn up plan is all about to this study?Matador Plan is a plan of action for the defence of Singapore. The two plans were totally different, that in the end they contributed to the downfall of Singapore. Both had their weaknesses. One of the major ones was the lack of co-ordination and command between the Army, Navy and Air Force. The other and more serious is the clash of ideals. The first one a Naval plan by Churchill, the other a Land based plan by Brook-Popham. Now I will outline both plans for a thorough understanding. The Land Based Matador 18. History of Malaya War shows that Brook-Popham was the man on the spot who could evaluate a more accurate assessment of the needs.His plan was a land based Matador. This was a plan of action that envisaged an attack by the Japanese from the North of Ma laya via Thailand and the Kara Isthmus. It was drawn up by Brook-Popham, in August 1941 and he submitted his plan to London for approval. It is believed that if the plan was implemented at the right time, it possibly could have delayed the Japanese long enough to allow the British forces stationed in Malaya and Singapore to mount a delaying action until reinforcements arrived. 19. Land Based Matador relied on assumption that the Japanese would land on the east coast of Thailand at two points that of Songkhla and Pattani.The next would be advancing south to Jitra and lower down to Kroh. It was envisaged in Matador that two forces could intercept them just over the boarder in Thailand, thus allowing long enough for the main force to assemble and attack. There was only one problem, if the British were to implement this without the Japanese being at war with Thailand first, it would be seen as an attack by the British on a neutral country. To complicate matters further Sir Josiah Cosby the British Ambassador in Siam the previous year 1940 had signed a non-aggression pact with Pibul the President of Thailand.Requests by Brook-Popham to London for additional resources to cover this Plan were made around January 1941, but remained unfulfilled. This plan was considered a good plan and consequently it also had its problem due to unavoidable consequences. The main obstacle was one of them being Churchill. It is known that  Churchill had distrust of it lay in the political aspects and at the same time he also favoured being a naval man with a naval solution wherein the plan was mainly a Land Based Matador. The Sea Based Matador 20.The Sea Based Matador referred on the need of resources especially the battle ships to defend the Singapore Island. In Duff Coopers report of the Defence of Singapore in 1939 it was stated that no less than 8 war ships would be needed to defend Fortress Singapore. Churchill was not in the business of land forces at the time, he was First Lord of the Admiralty  as such was fighting for his part in any forthcoming action. Churchill had been told of the situation of what he later proclaimed in Parliament as, â€Å"Fortress Singapore† and its armaments.He proclaimed that â€Å"It had several big guns and there were a lot of troops on a island that he had never seen, but not enough in the way of Navy†. 21. At Duff Coopers conference of the 29th September 1941 in Singapore, it was stated that at the least Two Battleships would be needed as a minimum. Those attended the meeting were Sir Robert Brook-Popham, Sir Earl Page, Sir Archibald Clark-Kerr, Sir Shenton Thomas, Governor of Singapore and Vice-Admiral Sir Geoffrey Layton. Once Churchill became the Prime Minister he held the final decision. But what Churchill sent and eventually happened, was a cobbled result. The Prince of Wales' and ‘Repulse' that turned up with escorts called â€Å"Force Z†. It was a disaster for the British upon the sinking of the two main battle ships. CHRONOLOGY OF EVENTS 22. The chronology of events that involved along the path of Matador Plan implementation are as follows. a. In year 1937. Major-General William Dobbie Officer Commanding Malaya (1935 – 1939), looked at Malaya's defences, he reported that during the monsoon season from October to March landings could be made by an enemy on the east coast and bases could be established in Siam.He predicted that landings could be made at Songkhla and Pattani in Siam, Thailand and Kota Bharu in Malaya. He recommended large reinforcements to be sent immediately. His predictions turned out to be correct but his recommendations were ignored. b. In January 1941. A request for additional resources remained unfulfilled which the plan intended to use and the previous year in 1940 Sir Josiah Cosby the British Ambassador in Siam, had signed a non-aggression pact with Prime Minister Pibul of Siam. c. In August 1941.The Commander-in-Chief (Cin C) of British Far East Command Air Chief Marshal Robert Brooke-Popham submitted a plan code named Matador to London for approval. The plan relied on assumption that the Japanese would land on the east coast of Siam at Songkhla and Pattani, then advancing south to Jitra and lower down to Kroh. It was envisaged that two forces could intercept them just over the border in Thailand, long enough for the main force to assemble and attack. d. On November 29, 1941. Air Headquarters at Singapore is warned to be ready to support Operation Matador at 12 hours notice. e. On November 30, 1941.The Commanding Officer of the Japanese 25th Division, Lieutenant-General Tomoyuki Yamashita, receives orders to proceed with the invasion of Singapore. At the same time 21 Squadron RAAF is based at Sungei Patani. f. On December 2, 1941. HMS Prince of Wales and HMS Repulse arrive at Singapore Harbour escorted by a number of ships including HMAS Vampire. g. On December 4, 1941. The Japanese fleet leaves Samah Harbour at d awn. h. On December 5, 1941. When the threat of Japanese invasion became more likely, the plan was modified to use the forces available, it was to be put into action as soon as an attack was imminent.The plan was that if an enemy attacked, or were invited into, Siam, troops under British command would rush to Songkhla and defend it against a sea borne attack. This job was allocated to Major-General Murray-Lyon's Indian 11th Infantry Division who also had to defend Jitra, this over stretched his resources and made it a difficult task to do. i. On December 5, 1941. London gave permission for Cin C Far East Command to decide if Operation Matador should be activated. The chief strategic decision to be decided was whether Siam should be invaded in a pre-emptive move before the Japanese landings took place.Sir Robert Brooke-Popham was ordered to launch Operation Matador. The Malaya Command was responsible for the detailed planning of Operation Matador. j. On December 6, 1941. It had rewor ked the plan and allocated forces for immediate deployment. Which is what General Officer Commanding Malaya Arthur Percival recommended that evening in meeting with the Governor Sir Shenton Thomas and Cin C Brooke-Popham decided it is premature to launch the operation which included the pre-emptive move into Siam. With hind sight this was the wrong decision. 23.However, if Matador had been implemented the Japanese had a counter worked out. They would use the Bangkok airport and the airfields of Southern Siam to enable air cover to be established, and then invade from the Kra Isthmus. TACTICAL ASPECTS APPLIED 24. There were a lot of differences between British prediction and actual location of the Japanese landings in Malaya Peninsula. For detail, refer to figure 1 and figure 2 in appendix. The ‘Red' dot on the map is where the last sighting of the approaching Japanese armada was on the 6th December at approx 12. 30am by British RAF spotter planes.And the ‘Orange' dot on the map the â€Å"presumed British† and â€Å"actual Japanese† meeting place of the Japanese fleet on the 7th December 1941. The real Japanese meeting place was just 200 miles from Songkhla, Pattani and Kota Bharu, the assumed meeting place by Brook-Popham was some 400 miles, double the distance and of course double the time. In the event the Japanese landed at, Prachoup 1 craft, Chumphon 2 craft, Bandon 2 craft, Nakhon 3 craft, Songkla and Pattani 18 craft and  Kota Bharu 3 craft. 25. The Japanese had forestalled the effect of Matador by having a secondary plan.In the event if Matador was implemented, the Japanese were under the orders to occupy the airfield of Bangkok and the airfields of Southern Thailand to enable air cover to be established, thus paving the way for the invasion from the Kara Isthmus and the inevitable fall of Singapore. It shows the invader is truly tactical enough to apply the secondary plan if the primary met with failure. It was the combinati on of confused action and wildly differing approaches to what was perceived as the enemies’ tactics that eventually lead to the fiasco of Malaya and Fortress Singapore.Beside, the Japanese also use ‘blitzkrieg’ tactics that was used by the Germans during Europe Campaign. BATTLE ANALYSIS ANALYSIS ON FACTORS AND EFFECTS 26. The Matador plan can be analyzed from several factors which concluded to its failure. The factors identified are as follows: a. Lack of Resources. The Matador plan relied on assumption that the Japanese would land on the east coast of Siam at Songkhla and Pattani, then advancing south to Jitra and lower down to Kroh.British forces could intercept them just over the border in Thailand, long enough for the main force to assemble and attack. But the plan was modified to use the forces available and it was to be put into action as soon as an attack was imminent. If an enemy attacked, or were invited into Siam, troops under British command would rush to Songkhla and defend it against a sea borne attack. This job was allocated to Major-General Murray-Lyon's of Indian 11th Infantry Division who also had to defend Jitra, this has over stretched his resources and made it a difficult task to do.Beside, in the absence of the main fleets, RAF was fully responsible to carry out its task effectively in defence, it was estimated that it required a minimum of 336 modern aircraft including a long range striking force. At the outbreak of hostilities it had a mere 158, most of which were obsolescent. The lack of resources and the assign of multiple tasks at one time by the British made them facing more difficulties in defending its position against the Japanese. b. Non-strategic defence position.The decision to defend the Singapore base by holding the whole of Malaya meant that in the absence of the fleet the task fell primarily on the RAF. Because of the key role allotted to the air force it was decided that the primary task of the army was to defend the airfields from which the RAF operated. These airfields had been built without reference to the military but rather to suit civilian requirements. From a military viewpoint they were located too close to the coast and too close to the border of Siam to be effectively defended. c. Time Window.Matador was approved late for the plan to succeed. For Operation Matador to succeed, time was of the absolute essence. British forces had to be in Singora before the Japanese landed. However, as Britain attempted to the very end to avoid war with Japan, the military were forbidden to violate Siamese territory until an actual outbreak of war. With such a constraint, and time being of the essence, Operation Matador should have been abandoned. d. Command and Control. Earlier on December 5, 1941, London gave permission for Cin C the Far East Command to decide if Operation Matador should be activated.The strategic decision to be decided was whether Siam should be invaded in a pre-emptiv e move before the Japanese landings took place. The Malaya Command was responsible for the detailed planning of Operation Matador and on December 6, 1941 it had reworked the plan and allocated forces for immediate deployment. General Officer Commanding Malaya Arthur Percival recommended in meeting with the Governor of Singapore Sir Shenton Thomas and Cin C Brooke-Popham decided it is premature to launch the operation which included the pre-emptive move into Siam. e. Political Aspects.British do not want to be the first nation to trespass the non alliance of Thailand in the war and will not approved matador planned until there is solid evidence that shows that the Japanese is up to move to Thailand territory. To forestall the anticipated Japanese invasion the British High Command evolved a plan to seize the Siamese port of Singora which is ‘Operation Matador' and to delay the anticipated Japanese advance from Patani by holding a position called ‘The Ledge'. This plan requ ired crossing the international frontier into Siam thus making Britain guilty of violating official Siamese neutrality.In the year 1940 Sir Josiah Cosby the British Ambassador in Siam, had signed a non-aggression pact with Prime Minister Pibul of Siam. f. Lack of Importance. Under the command of Jen AE Percival, there were some 85000 British, Australian, Indian and Malayan troops. However some of the problems associated with this force included poor quality officers, poor training, especially in jungle warfare, lack of civilian labour to construct defences and lack of homogeny. g. The Blame. The blame of Matador Plan failure cannot only be pointed to General Percival because the launch of the plan must be approved from Churchill in London.He must have disliked it so much and there weren’t any reference to it in Churchill's memoirs as well. He seems to have conveniently forgotten all about it. Churchill’s distrust of it lay in the political aspects, he also favoured bei ng First Lord of the Admiralty   a naval man, a naval solution thus the sea based matador were developed. h. Operation Theatre Priorities. The Matador Plan was stalled repeatedly by Churchill, who wanted the scarce resources of aeroplanes, troops and other equipment diverted to his other priority areas, such as the Middle East and Russia.Britain's defence, the Middle East and the Soviet Union had all received higher priorities in the allocation of men and material, so the desired air force strength of 300 to 500 aircraft was never reached whereas the Japanese invaded with over two hundred tanks, the British Army in Malaya did not have a single one. i. The Wrong Assessment. Other than that, the war in the Middle East, the world's oil pipeline and gateway to India, was not going well. At the same time, Russian vulnerability added to the complexities of the situation.In 1941, Churchill delivered 440 aircraft to Russia. He also diverted an entire division, which was bound for Singapor e, the 7th Australian Division, to the Middle East and one brigade of the 9th Indian Division to Iraq. Churchill estimate, Japan will not enter the war unless the Germans had invaded Britain successfully. j. Lack of Intelligence. British intelligence had failed in providing the real assessment of Japanese assault lan on Malaya. As a result the British had failed to provide an adequate force and resources to meet the Japanese thrust.LESSON LEARNT 27. In the final analysis, it was a British failure to adhere to the principles of war in the implementation of the Matador Plan and the Japanese vision and motivation that led to the defeat of the British in the Malayan Campaign. a. Selection and The Maintenance Of The Aim. British has made the wrong decision making on the aspects of strategic defence plan of Malaya rather than knowing and understanding the Japanese strategic plan to conquer Malaya and Singapore. Japanese intentions are as follows: )Japan maybe to conquer Singora and Patani as habour to seize the important air field at Kedah and then move to North West of Malaya. 2)Landed at Kota Bharu to take over the air field. 3)Landed at Kuantan and move to west over the Kuantan-Raub road or Mersing road for Singapore assault through North of Malaya. Percival was unaware of these intentions and put the little sources to defence the other different area. On the other hand, the British thought that Japan will assault Malaya through Singapore. b. Maintenance Of Morale. The Japan inner strength was very high.All the Japan soldiers had their ideology which is â€Å"east for east† where in their psychology they had to rise with the morale in order to face war difficulties. Japan had all the factors that guaranteed the success with having good war equipment, efficiency and encouragement. c. Concentration of Force. The British didn’t forestalled a large number of forces at the planned or strategic location in order to resist any Japanese landing from the Nor th wherein this was an advantages to the Japanese forces. d. Economy of Effort. The highest Japan Royal Company gave 100 days to conquer Malaya and Singapore.Thinking about the mission, Jen Yamashita gave their order to throw the unnecessary equipment from their soldier and planning to remain a smooth movement from combination of expensive British roads and cheap Japan bicycle. He ordered his soldier that didn’t have any vehicle to ride bicycle. This is not just gave the smooth movement but also reduce man power from jungle tracking and walk. e. Surprise. Japan has attack Malayan from North where the British defence was very weak at the enemy aimed position. They attack Malaya in raining season when British not expected the Japan will attack on that time.That situation was entirely a surprise and a piece of well planned action. f. Offensive Action. Japan launched amphibious assault in north beach Malaya at Kota Bahru to move down into East beach of Malaya. This movement is do ne by landed at Patani and Singora in Thailand, whereas they move to South through road land to cross Malayan-Thailand borders to attack from west of Malaya. g. Cooperation. Cooperation can be analysed by comparing the both forces and there are: 1)Original defence planning on Malaya and Singapore depend on two factors, and it was British Far East Armada and American Pacific Armada.Far East Armada was supposed to have 1 carrier, 7 battleship, 11 cruiser and 24 destroyer was not to send because the strategic situation at Europe and Mediterranean and the effect from France failure. The British had no option rather than to deliver 2 battleships that are Repulse and Prince of Wales, while America Pacific Armada was destroyed at Pearl Habour. It was a fail of cooperation that British had no choices to support while Japan easily landed at Malaya. 2)While the Japanese had successfully integrated their entire asset including land, sea and air in giving the maximum fire power and maneuver.The cooperation between 3rd div (Air) Commander, Southern Sqn (Sea) Commander with all (Land) Army Chief’s a success to destroyed the British defence position. 25th Army Commander Lt Jen Yamashita had given his authority to coordinate the sea and air asset in order to achieve ‘mui’ in conquering Malaya and Singapore. h. Security. Beach defence built at Malaya in order to face the Japanese landings, including concertina wire, under water obstacles and machine gun placement were not good enough to give a supreme security and protection for the British.The implication from this, the British suffered a lot of casualties. Japanese also suffered a lot of casualties and this has shown that the British weakness in order to make sure the safety of their soldier itself. i. Flexilibity. To launch the Matador Plan Percival needed permission from British government in London. British government refused to launch this plan until they have proofs that the Japanese has landed in Th ailand. That situation shows that matador plan does not have the flexibility for an execution purposes. CONCLUSION 28.The Matador plan can be analyzed from several factors which conclude to its failure. The factor involves all aspects from the column of battle analysis. Matador was approved late for the plan to succeed. For Operation Matador to succeed, time was of the absolute essence. The delays in mobilization meant that the troops did not receive the order to launch ‘Operation Matador' effect, and morale suffered. An attempt by British troops to advance to The Ledge fell six miles 9. 6 km short of its objective when on 10 December 1941 Japanese troops overran the leading battalions.Another disaster, and with it any real chance for British troops to delay the Japanese advance until relief came, occurred on 12 December 1941 when the strategically-located and well-prepared Jitra position was abandoned within twenty four hours of being attacked. 29. The intention of the Britis h had been to hold it for approximately three months. Thus, after the twenty years of preparation to avoid such an eventuality, the fate of Malaya, and with it Singapore, was sealed in the first four days of the campaign.In the words of Major General Woodburn Kirby, ‘One can sum up by saying that those responsible for the conduct of the land campaign in Malaya committed every conceivable blunder. They underrated the enemy, paid insufficient attention to the training of their troops and delayed taking urgent decisions even after the Japanese had landed on Malayan soil. Singapore and the naval base were lost between 8 and 12 December'. Prime Minister of Britain, Churchill and all his decision made during the Malayan Campaign was also considered as a worst decision making in the war campaign ever in the history.Appendix 1 [pic] Figure 1: This shows what Brook-Popham had assumed happened from the intelligence he had received. [pic] Figure 2: This is what actually happened from the records of the Japanese BIBLIOGRAPHY 1. Cull Brian, Buffaloes Over Singapore, Grub Street, London 2003. 2. Lt Gen AE Percival, The War in Malaya. 3. Sir John Smyth V. C, Percival and The Tragedy of Singapore, 1987. 4. Wikipedia, Battle of Malaya, HTML. 5. Chye Kooi Loong, The British Battalion In The Malayan Campaign 1941-1942, 2002. [pic][pic][pic][pic][pic][pic][pic][pic][pic][pic][pic][pic][pic][pic][pic][pic][pic][pic]