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Critically evaluate investment opportunities and using a range of financial analysis and investment appraisal techniques.

ASSIGNMENT INSTRUCTIONS

This excludes bibliography and other items listed in rule 6.75 of the Academic Regulations:
http://web.anglia.ac.uk/anet/academic/public/academic_regs.pdf
Assessed Learning Outcomes
Submission Deadline :
This assignment must be received by no later than 14:00 on Wednesday 18th December 2019
WRITING YOUR ASSIGNMENT:
 This assignment must be completed individually.
 You must use the Harvard referencing system.
 Your work must indicate the number of words you have used. Written assignments must not exceed the specified maximum number of words. When a written assignment is marked, the excessive use of words beyond the word limit is reflected in the academic judgement of the piece of work which results in a lower mark being awarded for the piece of work (regulation 6.74).
 Assignment submissions are to be made anonymously. Do not write your name anywhere on your work.
 Write your student ID number at the top of every page.
 Where the assignment comprises more than one task, all tasks must be submitted in a single document.
 You must number all pages.
SUBMITTING YOUR ASSIGNMENT:
In order to achieve full marks, you must submit your work before the deadline. Work that is submitted late – up to five working days after the published submission deadline – will be accepted and marked. However, the element of the module’s assessment to which the work contributes will be capped with a maximum mark of 40%.
Work cannot be submitted if the period of 5 working days after the deadline has passed (unless there is an approved extension). Failure to submit within the relevant period will mean that you have failed the assessment.
Requests for short-term extensions will only be considered in the case of illness or other cause considered valid by the iCentre Adviser. Please contact iCentre@lca.anglia.ac.uk. A request must normally be received and agreed by the iCentre Adviser in writing at least 24 hours prior to the deadline. See rules 6.56-6.65: http://web.anglia.ac.uk/anet/academic/public/academic_regs.pdf
Mitigation: The deadline for submission of mitigation in relation to this assignment is no later than five working days after the submission date of this work. Please contact iCentre@lca.anglia.ac.uk
See rules 6.103 – 6.132: http://web.anglia.ac.uk/anet/academic/public/academic_regs.pdf
ASSIGNMENT QUESTION
Background
Global News Ltd is a UK-based privately-owned news channel distributed on satellite, cable and on-line. At present it employs 1,000 personnel in a news gathering and editing capacity. This includes reporters, camera operators and editors. A further 450 staff work in the head-office and support functions. The company regards itself as having a progressive editorial style and has tried to reflect this in operational decisions, including a focus on maximizing the diversity of its workforce in all areas and emphasizing this approach in its branding.
The company is owned by the founders, Arlo and Manfred, with a 20% share each, a number of senior executives with a total of 20% between them (none with more than 5%), and 40% by Stox, a private equity fund. There are 20 million shares in issue and, according to a recent presentation given to the company by an investment bank the equity is worth £210-230m. The company paid dividends last year of £1.32 per share. The company has debt as follows:
 £25m in the form of subordinated loan stock provided by Stox at a fixed rate of 5.5%
 £30m in a “club deal” from three banks at a floating rate hedged through a swap at 4% for 5 years.
Last year the company had revenues of £156m million, Operating Profit of £15m and Net profit of £8m. Margins have been falling and the management are coming under pressure from Stox to improve performance.
The Director of Operations is concerned that the technology currently employed by the organisation is aging and does not operate at a level of security or efficiency suitable for a company of GNL’s scale. He has been in discussions with a broadcasting IT designer, NBED, to carry out a preliminary analysis on how the systems could be upgraded.
NBED estimate that designing or licencing new software would cost £5m per year for the next 5 years. It would also require an investment of £60m in new hardware throughout the organisation. It would also require an increase in the training budget of £8,000 pa per employee in the first year and £2,000 pa thereafter. The hardware would depreciate on a reducing balance basis of 30% per year for the first two years and 20% thereafter.
The introduction of the new technology would mean a significant change in working practices and a significant reduction in the size of the workforce. This would be mainly amongst front line journalists, editors and camera operators, since much of the work can now be done by junior reporters using news feeds which are directly accessed through their computers.
It is thought that up to 650 staff could be made redundant at a cost of 50% of their annual salary. Average salaries throughout the company are £45,000. A certain number of new staff would need to be hired (10 in year one and 5 in each of the following two years) to support the change.
Assignment Task
You are required to prepare a report, using the information provided above covering the following areas:
a) An up to date estimate of the company’s cost of capital using publicly available data (15 marks)
b) A spreadsheet model forecasting the impact over the next 5 years of the business case proposal set out above, together with a critical review of the assumptions, using publicly available information and a revised business case using the model to show its impact (40 marks)
c) A critical evaluation of the project and revised business case using investment appraisal techniques and a critical discussion of the results of this analysis (15 marks)
d) A discussion and evaluation of how the company might meet the funding requirements of the project (10 marks)
e) A brief critical discussion of the corporate social responsibility issues raised by the proposal (10 marks)
f) A critical, supported conclusion providing recommendations for the adoption or otherwise of the proposal. (10 marks)
ASSESSMENT CRITERIA You are reminded that the learning outcomes for the module are as follows and your answer should be prepared throughout with these in mind. 7. Learning Outcomes (threshold standards): On successful completion of this module the student will be expected to be able to: Knowledge and understanding;
1. Understanding a range of approaches and investment criteria for investment in securities and projects including the meaning of cost of capital and its application.
2. Understand the range of financial options available to financial managers in selecting sources of finance taking into consideration the size and stage of growth of the business Intellectual, practical, affective and transferable skills.
3. Critically evaluate investment opportunities and using a range of financial analysis and investment appraisal techniques.
4. Critically evaluate the criteria for developing a sustainable funding structure for a business or project.
Detailed assessment criteria and guidance are as follows: a) You should use the Capital Asset Pricing Model and Dividend Valuation Model to establish a cost of equity. Cost of each debt instrument needs to be calculated and the data combined to produce a Weighted Average Cost of Capital (WACC). You must make clear your sources for data such as the risk-free rate and market risk premium and explain the basis for your choice of growth rate and beta using suitable market comparables. (LO 1) b) A basic template for the model is provided online. You should use this as a guide and develop your own model using the assumptions provided.
Although no specialist knowledge of the relevant industry is expected, you are expected to demonstrate research into the reasonableness of the assumptions put forward in the scenario. This should be properly referenced and sourced. Credit will be given for specific “real-life” research in this area, and also for the ability to adapt the spreadsheet model to reflect justified, revised assumptions. (LO 1&3)
c) You should use NPV/IRR as the primarily tools for this evaluation although you may also use payback period and ROCE as appraisal tools. Your evaluation and critical discussion should focus on this particular company and not take the form of a generic discussion of the mechanics or relative merits of the different approaches. (LO3) d) You should consider the amount of funding required to implement the project and consider the impact of different options on the company’s overall gearing
and ability to satisfy the cost of capital. Your discussion should not be a description of every option available but a critical evaluation of those available to this company, taking into account its existing level of debt and the nature of its shareholders. You are not required to provide a financial model of the cash flows resulting from a particular structure but you may consider the effect of different WACC results on the model developed in b) above. (LO2&4)
e) You should consider concepts of maximizing shareholder wealth and corporate social responsibility in the context of cutbacks in staff levels. Credit will be given for research into “real-life” companies which have put an emphasis on diversity and inclusive and also had to restructure the workforce. You should consider not only the social and public image issues raised, but also whether these may have direct or indirect financial consequences. (LO 4)
f) You should summarise the findings of your technical analysis and other areas of research. Your conclusion should set out and critically evaluate the options raised and make clear recommendations supported by specific arguments raised in the earlier sections. (LO 1-4) Your analysis must be supported by relevant academic theories and concepts. The paper must be in a report format and comply with Harvard referencing guidelines. The report must not be descriptive in nature; it should provide clear evidence of understanding of the issues under consideration with an applied review of the business provided in the task scenario. It is essential you apply theories and concepts and not just explain them. The majority of the marks will be awarded based on your ability to define, analyse and apply the key concepts; without any analysis or evaluation you may struggle to pass the module. There is no correct number of academic references to be utilized as you must draw as many references as required to provide a high quality answer. However, a minimum of 12 academic sources are expected, and a majority of these should be current, internationally peer reviewed articles/journals or accredited textbook references. Sources such as Wikipedia/Investopedia and the like are not acceptable. Any sources available only online should be avoided. As you are producing a report in a business context you may, for this module, include references as footnotes. You should be mindful of how marks are allocated across the different tasks and tailor your answers to a proportionate length. Avoid exceeding the word limit as set out in the University Regulations.

Does the article present an etic perspective, an emic perspective, or perhaps both? Explain your answer.

Full article citation at the top of the Essay. Most of Anthropology uses a variation of the Chicago Manual of Style. Please format your citation like this:

Barlow, Dan. (2002). Diagnoses, dimensions, and DSM-IV: The science of classification. Journal of Abnormal Psychology, 100(3).
1. What is the general topic the authors studied?
2. What specific research question did the authors address?
3. What methods did the authors use to gather data?
4. We discussed in class that most anthropology is a social science but occasionally work is strongly scientific or strongly humanistic. What approach did the authors use? Explain what about the article indicates this.
5. What (if any) ethical concerns did the authors encounter either while working or as a result of the study? How did the authors address them? Did they make a conflict of interest statement or acknowledge who funded their research?
If the author does none of the above, please clearly state this in your essay.
6. Does the article present an etic perspective, an emic perspective, or perhaps both? Explain your answer.
7. If you were the authors, what research question will you address in your next article?

How can well-being and happiness be promoted while still respecting the privacy and freedoms of the public?

Now that you have examined potential arguments against positive psychology, post a discussion for your professor in which you indicate the most challenging of these arguments. For example, is it appropriate for a governing body to include these feelings and emotions in documents such as a constitution? How can well-being and happiness be promoted while still respecting the privacy and freedoms of the public?

Your discussion should reflect a collegial attitude and include the criteria mentioned above.
Length: 225-300 words

How does this item relate to the real world, either business-wise, or personally? If it doesn’t, state why.

CIS436 – Week 3 Summary and Analysis: Non – Academic

Summary and Analysis: Non-Academic

Choose one item, related to both information technology ethics and the themes of Weeks 3 and 4 from any worthy (see above for the definition of worthy) edited/QAed online source, such as MIT Technology ReviewWiredArs TechnicaTechDirtAtlanticThe New York TimesThe Washington PostChristian Science Monitor PasscodeCNETCIOInformation Week (that is not an exhaustive list), a TED Talk (http://www.ted.com/ – you can also find TED Talks on YouTube) by anyone (e.g. Megan Smith on the lost history of technical women https://vimeo.com/121500228), or some of the films from the library’s extensive film collections, Films on DemandAlexander Street, and Kanopy. Look for their Computer Science & IT collections.

Once you have pinned down your non-academic item, write a short paper (with an overall introduction, an overall conclusion, and a developed body that flows well – generally at least a few paragraphs – at least 250 words, not including the question text itself), using your own words. Please include all of these seven points in your paper:

  1. An APA/MLA/Chicago/etc. reference for the item – basically, let your pretend manager know how to find it if they want to read/watch it.
  2. TL;DR
  3. Why you chose this item.
  4. A brief summary of the main points that the author made in the item.
  5. An analysis of the item. Points to address (all 7 of them):
    1. Did the author have a clear purpose for the item? What makes you believe so?
    2. Was this purpose accomplished? How?
    3. Did the author present compelling evidence to support main points?
    4. Does the item have gaps? What sort?
    5. Did the author present the information in a way that readers would find appealing? In what way?
    6. Is the world a better place for this item being written/given? How?
    7. How does this item relate to the real world, either business-wise, or personally? If it doesn’t, state why.

You don’t have to write in a boring and stilted academic style in your summary and analysis – it’s all right (and encouraged!) to write in an engaging style! It’s recommended that you do make a clear distinction between the summary and analysis sections of the paper, if only to remember to address all 7 points of the analysis assignment.

Requirements:

  • Format: Microsoft Word APA STYLE
  • Font: Times New Roman, 12-point, Double-spaced
  • Citation Style: APA
  • Length: 1 page (275 words)

 

Identify and describe any risks and consider what further information you would need to gain a full understanding of the child’s health.

The Assignment

Assignment (3–4 pages, not including title and reference pages):

Assignment Option 1: Adult Assessment Tools or Diagnostic Tests:
Include the following:

  • A description of how the assessment tool or diagnostic test you were assigned is used in healthcare.
    • What is its purpose?
    • How is it conducted?
    • What information does it gather?
  • Based on your research, evaluate the test or the tool’s validity and reliability, and explain any issues with sensitivity, reliability, and predictive values. Include references in appropriate APA formatting.

Assignment Option 2: Child Health Case:
Include the following:

  • An explanation of the health issues and risks that are relevant to the child you were assigned.
  • Describe additional information you would need in order to further assess his or her weight-related health.
  • Identify and describe any risks and consider what further information you would need to gain a full understanding of the child’s health. Think about how you could gather this information in a sensitive fashion.
  • Taking into account the parents’ and caregivers’ potential sensitivities, list at least three specific questions you would ask about the child to gather more information.
  • Provide at least two strategies you could employ to encourage the parents or caregivers to be proactive about their child’s health and weight.

 

Instructions for the paper!

For the paper assignment you are to choose one of the 4 options for tests. You will pick either fecal occult blood test, pap smear, rapid strep testing in children or rapid influenza. There are four options for case scenario. You pick one case scenario that you want to build your test around.

For example a 12 year old girl comes complaining of a sore throat (this part I created) upon history taking I noticed that she seems sad or quiet and when asking questions about school and friends using the HEADSS tool I realized she is being bullied. On further history taking I noticed her parents are very thin and after talking with the parents found out they recently lost their job and are struggling to make it month to month (I created this portion of the story). I hope this example helps. Giving you a prompt and letting you build your patients story really challenges you as the student to incorporate your experience and what you’ve been learning.

  • Fecal occult blood test
  • Pap smear
  • Rapid strep testing in children
  • Rapid Influenza testing in children and adults
  • 5-year-old Asian girl of normal weight with obese parents who is home schooled
  • Severely underweight 12-year-old Hispanic girl with underweight parents who has been bullied in school just recently
  • 32-year-old Caucasian male with a history of obesity who lives in a rural community and is unemployed
  • 75-year-old non-English speaking female recently diagnosed with breast cancer

 

What are the larger writing structures used within each of the five approaches of inquiry?

Writing a Qualitative Study

Writing and composing the narrative report brings the entire study together. Borrowing a term from Strauss and Corbin (1990), we are fascinated by the architecture of a study, how it is composed and organized by writers. We also like Strauss and Corbin’s (1990) suggestion that writers use a “spatial metaphor” (p. 231) to visualize their full reports or studies. To consider a study spatially, they ask the following questions: Is coming away with an idea like walking slowly around a statue, studying it from a variety of interrelated views? Like walking downhill step by step? Like walking through the rooms of a house? We are intrigued by what Pelias (2011) refers to as realization (the writer’s process) and record (the completed text)—specifically how we might make this progression less obscure. Engaging in the process of writing a qualitative study can be considered ambiguous because “we may not realize what we have or know where we are going” (Charmaz, 2014, p. 290). In short, we may not be able to trace the path our writing process has taken until we complete the written report.

In this chapter, we assess the general architecture of a qualitative study, and then we invite the reader to enter specific rooms of the study to see how they are composed. In this process, we begin with revisiting the key ethical considerations for writing a qualitative study. Then we present four writing strategies for addressing issues in the rendering of a study regardless of approach: reflexivity and representation, audience, encoding, and quotes. Then we take each of the five approaches to inquiry and assess two writing structures: the overall structure (i.e., overall organization of the report or study) and the embedded structure (i.e., specific narrative devices and techniques that the writer uses in the report). We return once again to the five examples of studies in Chapter 5 to illustrate overall and embedded structures. Finally, we compare the narrative structures for the five approaches in terms of four dimensions. In this chapter, we will not address the use of grammar and syntax and will refer readers to books that provide a detailed treatment of these subjects (e.g., Creswell, 2014; Strunk & White, 2000; Sword, 2012).

Questions for Discussion

  • What ethical issues require attention when writing a qualitative study?
  • What are several broad writing strategies associated with crafting a qualitative study?
  • What are the larger writing structures used within each of the five approaches of inquiry?
  • What are the embedded writing structures within each of the five approaches of inquiry?
  • How do the narrative structures for the five approaches differ?

Ethical Considerations for Writing

Before considering the architecture underpinning writing qualitative studies, we carefully consider relevant ethical issues (see initial discussion in Chapter 3). In particular, we must attend to the application of appropriate reporting strategies and compliance with ethical publishing practices (see Table 9.1). For appropriate reporting strategies, it is essential that researchers tailor reports to diverse audiences and use language that is appropriate for target audiences. To comply with ethical publishing practices, researchers must create reports that are honest and trustworthy, seek permissions as needed, ensure same material is not used for more than one publication, and disclose funders and beneficiaries of the research.

Creswell (2016) presents an adapted checklist from the “Ethical Compliance Checklist” (APA, 2010, p. 20) to inform writing. These are questions that should be considered by all qualitative researchers about their study manuscripts and research proposals:

  • Have I obtained permission for use of unpublished instruments, procedures, or data that other researchers might consider theirs (proprietary)?
  • Have I properly cited other published work presented in portions of the manuscript?
  • Am I prepared to answer questions about institutional review of my study or studies?
  • Am I prepared to answer editorial questions about the informed consent and debriefing procedures used in the study?
  • Have all authors reviewed the manuscript and agreed on the responsibility for its content?
  • Have I adequately protected the confidentiality of research participants, clients–patients, organizations, third parties, or others who were the source of information presented in this manuscript?
  • Have all authors agreed to the order of the authorship?
  • Have I obtained permission for use of any copyrighted material included?

Several Writing Strategies

Unquestionably, the narrative forms are extensive in qualitative research. In reviewing the forms, Glesne (2016) notes that narratives tell stories that blur the lines between fiction, journalism, and scholarly studies. Other qualitative forms engage the reader through a chronological approach as events unfold slowly over time, whether the subject is a study of a culture-sharing group, the narrative story of the life of an individual, or the evolution of a program or an organization. Another form is to narrow and expand the focus, evoking the metaphor of a camera lens that pans out, zooms in, and then zooms out again. Some reports rely heavily on description of events, whereas others advance a small number of “themes” or perspectives. A narrative might capture a “typical day in the life” of an individual or a group. Some reports are heavily oriented toward theory, whereas others, such as Stake’s (1995) “Harper School,” employ little literature and theory. In addition, since the publication of Clifford and Marcus’s (1986) edited volume Writing Culture in ethnography, qualitative writing has been shaped by a need for researchers to be self-disclosing about their role in the writing, the impact of it on participants, and how information conveyed is read by audiences. Researcher reflexivity and representations is the first issue to which we turn.

Reflexivity and Representations in Writing

Qualitative researchers today are much more self-disclosing about their qualitative writings than they were a few years ago. Ronald Pelias (2011) describes reflexive writers as “ethically and politically self-aware, make themselves part of their own inquiry” (p. 662). No longer is it acceptable to be the omniscient, distanced qualitative writer. As Laurel Richardson wrote, researchers “do not have to try to play God, writing as disembodied omniscient narrators claiming universal and atemporal general knowledge” (Richardson & St. Pierre, 2005, p. 961). Through these omniscient narrators, postmodern thinkers “deconstruct” the narrative, challenging text as contested terrain that cannot be understood without references to ideas being concealed by the author and contexts within the author’s life (Agger, 1991). This theme is espoused by Denzin (2001) in his “interpretive” approach to biographical writing. As a response, qualitative researchers today acknowledge that the writing of a qualitative text cannot be separated from the author, how it is received by readers, and how it impacts the participants and sites under study.

How we write is a reflection of our own interpretation based on the cultural, social, gender, class, and personal politics that we bring to research. All writing is “positioned” and within a stance. All researchers shape the writing that emerges, and qualitative researchers need to accept this interpretation and be open about it in their writings. According to Richardson (1994), the best writing acknowledges its own “undecidability” forthrightly, that all writing has “subtexts” that “situate” or “position” the material within a particular historical and local specific time and place. In this perspective, no writing has “privileged status” (p. 518) or is superior over other writings. Indeed, writings are co-constructions, representations of interactive processes between researchers and the researched (Gilgun, 2005).

Also, there is increased concern about the impact of the writing on the participants. How will they see the write-up? Will they be marginalized because of it? Will they be offended? Will they hide their true feelings and perspectives? Have the participants reviewed the material and interpreted, challenged, and dissented from the interpretation (Weis & Fine, 2000)? Perhaps researchers’ writing objectively, in a scientific way, has the impact of silencing the participants and silencing the researchers as well. Czarniawska (2004) and Gilgun (2005) make the point that this silence is contradictory to qualitative research that seeks to hear all voices and perspectives.

Also, the writing has an impact on the reader, who also makes an interpretation of the account and may form an entirely different interpretation than the author or the participants. Should the researcher be afraid that certain people will see the final report? Can the researcher give any kind of definitive account when it is the reader who makes the ultimate interpretation of the events? Indeed, the writing may be a performance, and the standard writing of qualitative research into text has expanded to include split-page writings, theater, poetry, photography, music, collage, drawing, sculpture, quilting, stained glass, and dance (Gilgun, 2005). Language may “kill” whatever it touches, and qualitative researchers understand that it is impossible to truly “say” something (van Manen, 2006).

Weis and Fine (2000) discussed a “set of self-reflective points of critical consciousness around the questions of how to represent responsibility” in qualitative writings (p. 33). There are questions that can be formed from their major points and should be considered by all qualitative researchers about their writings:

  • Should I write about what people say or recognize that sometimes they cannot remember or choose not to remember?
  • What are my political reflexivities that need to come into my report?
  • Has my writing connected the voices and stories of individuals back to the set of historic, structural, and economic relations in which they are situated?
  • How far should I go in theorizing the words of participants?
  • Have I considered how my words could be used for progressive, conservative, and repressive social policies?
  • Have I backed into the passive voice and decoupled my responsibility from my interpretation?
  • To what extent has my analysis (and writing) offered an alternative to common sense or the dominant discourse?

Qualitative researchers need to “position” themselves in their writings. This is the concept of reflexivity in which the writer engages in self-understanding about the biases, values, and experiences that he or she brings to a qualitative research study. One characteristic of good qualitative research is that the inquirer makes his or her “position” explicit (Hammersley & Atkinson, 1995). We think about reflexivity as having two parts. The researcher first talks about his or her experiences with the phenomenon being explored. This involves relaying past experiences through work, schooling, family dynamics, and so forth. The second part is to discuss how these past experiences shape the researcher’s interpretation of the phenomenon. This is a second important ingredient that is often overlooked or often left out because the process is challenging and the lack of guiding resources (van Manen, 2014).

We suggest writing reflexive comments about what is being experienced as the study progresses—these might be observations during data collection or hunches about what the findings might indicate or reactions from participants during the study. These comments could be easily captured and retrieved using memo functions in qualitative software programs. Reviewing and then discussing how biases, values, and experiences impact emerging understandings is actually the heart of being reflexive in a study, because it is important that the researcher not only detail his or her experiences with the phenomenon but also be self-conscious about how these experiences may potentially have shaped the findings, the conclusions, and the interpretations drawn in a study. Thus, the act of writing a qualitative text cannot be considered separate from the author, the study participants, or the readers. The placement of reflexive comments in a study also needs some consideration.

The reflexive comments may be positioned in one or more positions in a qualitative study. Among the most popular placements involve the opening (or closing) passage of the study, a methods discussion in which the writer talks about his or her role in the study, and personal comments threaded throughout the study. It is not unusual to begin with a personal statement in a phenomenology whereby the authors disclose their backgrounds (see Brown, Sorrell, McClaren, & Creswell, 2006). Similarly, a case study may open with a personal vignette (see Stake, 1995) or end with an epilogue (see Asmussen & Creswell, 1995). As part of a methods description, a phenomenological researcher may disclose his or her experiences as health care provider for and a researcher of persons with HIV/AIDS as necessary for the interviewer to acknowledge and attempt to bracket those experiences (see Anderson & Spencer, 2002; Appendix C). Finally, the researcher may talk about his or her “position” in the introduction, the methods, and the findings or themes as is often the case in an ethnographic study (e.g., see Mac an Ghaill & Haywood, 2015; Appendix E).

Audience for Our Writings

A basic axiom holds that all writers write for an audience. As Clandinin and Connelly (2000) say, “A sense of an audience peering over the writer’s shoulder needs to pervade the writing and the written text” (p. 149). Thus, writers consciously think about their audience or multiple audiences for their studies (Richardson, 1990, 1994). Tierney (1995), for example, identifies four potential audiences: colleagues, those involved in the interviews and observations, policy makers, and the general public. More recently Silverman (2013) differentiated the expectations of academic and practitioner colleagues in that the former sought theoretical, factual, or methodological insights from our research, whereas the latter sought practical suggestions for better procedures or reform of existing practices. Identifying target audiences helps inform choices during the writing process. In short, how the report is structured depends on the readers you intend to engage with your writing. For example, because Fischer and Wertz (1979) disseminated information about their phenomenological study at public forums, they produced several expressions of their findings, all responding to different audiences. One form was a general structure, four paragraphs in length, an approach that they admitted lost its richness and concreteness. Another form consisted of case synopses, each reporting the experiences of one individual and each two and a half pages in length. More recently, MacKenzie, Christensen, and Turner (2015) discussed the challenges they experienced while trying to communicate their participatory research results with their indigenous participants.

Ravitch and Mittenfelner Carl (2016) discussed 14 questions related to the purpose and audience of a study. The following are adapted to inform writing decisions and should be considered by all qualitative researchers about their target audiences:

  • For what audience(s) is this study being written? What informs these choices?
  • What am I hoping to achieve with this report to my audience?
  • What writing structures would my audience expect?
  • Are there other audiences who could benefit from my learning and knowledge?
  • How might I structure my writing to fit other audiences’ needs?

Encoding Our Writings

A closely related topic is recognizing the importance of language in shaping our qualitative texts. The words we use encode our report, revealing how we perceive the needs of our audiences. Earlier, in Chapter 6, we presented encoding the problem, purpose, and research questions; now, we consider encoding the entire narrative report. Richardson’s (1990) study of women in affairs with married men illustrates how a writer can shape a work differently for a trade audience, an academic audience, or a moral or political audience. For a trade audience, she encoded her work with literary devices such as the following:

Jazzy titles, attractive covers, lack of specialized jargon, marginalization of methodology, common-world metaphors and images, and book blurbs and prefatory material about the “lay” interest in the material. (Richardson, 1990, p. 32)

For the moral or political audience, she encoded through devices such as the following:

In-group words in the title, for example, woman/women/feminist in feminist writing; the moral or activist “credentials” of the author, for example, the author’s role in particular social movements; references to moral and activist authorities; empowerment metaphors, and book blurbs and prefatory material about how this work relates to real people’s lives. (Richardson, 1990, pp. 32–33)

Finally, for the academic audience (e.g., journals, conference papers, academic books), she marked it by the following:

Prominent display of academic credentials of author, references, footnotes, methodology sections, use of familiar academic metaphors and images (such as “exchange theory,” “roles,” and “stratification”), and book blurbs and prefatory material about the science or scholarship involved. (Richardson, 1990, p. 32)

Although we emphasize academic writing here, researchers encode qualitative studies for audiences other than academics. For example, in the social and human sciences, policy makers may be a primary audience, and this necessitates writing with minimal methods, more parsimony, and a focus on practice and results.

Richardson’s (1990) ideas triggered thoughts about how one might encode a qualitative narrative. Such encoding might include the following:

  • An overall structure that does not conform to the standard quantitative introduction, methods, results, and discussion format. Instead, the methods might be called procedures, and the results might be called findings. In fact, the researcher might phrase the headings for themes in the words of participants in the study as they discuss “denial,” “retriggering,” and so forth, as was done in the gunman case (Asmussen & Creswell, 1995).
  • A writing style that is personal, familiar, perhaps “up-close,” highly readable, friendly, and applied for a broad audience. Our qualitative writings should strive for a “persuasive” effect (Czarniawska, 2004, p. 124). Readers should find the material interesting and memorable, the “grab” in writing (Gilgun, 2005).
  • A level of detail that makes the work come alive—verisimilitude comes to mind (Richardson, 1994, p. 521). This word indicates the presentation of a good literary study in which the writing becomes “real” and “alive,” writing that transports the reader directly into the world of the study, whether this world is the cultural setting of youths’ resistance to both the counterculture and the dominant culture (Haenfler, 2004) or an immigrant student in a school classroom (Chan, 2010; see Appendix B). Still, we must recognize that the writing is only a representation of what we see or understand.

Quotes in Our Writings

In addition to encoding text with the language of qualitative research, authors bring in the voice of participants in the study. A good rule of thumb is that quotes should be as illustrative as possible and be contextualized, interpreted, and incorporated within the text of the manuscript (Brinkmann & Kvale, 2015). Writers use ample quotes, and we find Richardson’s (1990) discussion about three types of quotes most useful. The first consists of short, eye-catching quotations. These are easy to read, take up little space, and stand out from the narrator’s text and are indented to signify different perspectives. For example, in the phenomenological study of how persons live with AIDS, Anderson and Spencer (2002; see Appendix C) used paragraph-long quotes from men and women in the study to convey the “magic of not thinking” theme:

It’s a sickness, but in my mind I don’t think that I got it. Because if you think about having HIV, it comes down more on you. It’s more like a mind game. To try and stay alive is that you don’t even think about it. It’s not in the mind. (p. 1347)

The second approach consists of embedded quotes, briefly quoted phrases within the analyst’s narrative. These quotes, according to Richardson (1990), prepare a reader for a shift in emphasis or display a point and allow the writer (and reader) to move on. Harley et al. (2009; see Appendix D) used short, embedded quotes extensively in their grounded theory study because they consume little space and provide specific concrete evidence, in the participants’ words, to support a theme such as the initiation phase:

Many of the women were juggling careers and family, so time out for themselves was another important benefit of physical activity. One woman explained, “I had a little time for me. I started enjoying it. I started liking it.” (p. 103)

A third type of quote is the longer quotation used to convey more complex understandings. These are difficult to use because of space limitations in publications and because longer quotes may contain many ideas, and so the reader needs to be guided both “into” the quote and “out of” the quote to focus his or her attention on the controlling idea that the writer would like the reader to see. Frelin (2015; see Appendix F) used longer quotes to describe the impact of time on the development of teacher-student relationships:

That you always have the time to spend with a student, and can sit down and talk if you see that something is wrong. You can always have a proper conversation with a student. Always. It is fantastic, but you can’t do that at compulsory school when you have a group of 30 and need to rush off to the next lesson. (p. 598)

Overall and Embedded Writing Strategies

In addition to these writing approaches, the qualitative researcher needs to address how he or she is going to compose the overall narrative structure of the report and use embedded structures within the report to provide a narrative within the approach of choice. We offer Table 9.2 as a guide to the discussion to follow, in which we list many overall and embedded structural approaches as they apply to the five approaches of inquiry.

Narrative Writing Structures

As we read about the writing of studies in narrative research, we find authors unwilling to prescribe a tightly structured writing strategy (Clandinin, 2013; Clandinin & Connelly, 2000; Czarniawska, 2004; Riessman, 2008). Instead, we find the authors suggesting maximum flexibility in structure (see Ely, 2007) but emphasizing core elements that might go into the narrative study. In so doing, Clandinin (2013) describes the writer as well positioned for matching the narrative structures to the particular study context:

As narrative inquirers, we need to hold open and to make visible the ways that participants, and we, struggle for that coherence, sometimes successfully, sometimes not. We must, in the composing, co-composing and negotiation of interim and final research texts, make visible the multiplicity, as well as the narrative coherence and lack of narrative coherence, of our lives, the lives of participants, and the lives we co-compose in the midst of our narrative inquiries. (p. 49)

Overall Structures

Narrative researchers encourage individuals to write narrative studies that experiment with form (Clandinin, 2013; Clandinin & Connelly, 2000). Researchers can come to their narrative form by first looking to their own preferences in reading (e.g., memoirs, novels), reading other narrative dissertations and books, and viewing the narrative study as back-and-forth writing, as a process (Clandinin & Connelly, 2000). Within these general guidelines, Clandinin and Connelly (2000) review two doctoral dissertations that employ narrative research. The two have different narrative structures: One provides narratives of a chronology of the lives of three women; the other adopts a more classical approach to a dissertation including an introduction, a literature review, and a methodology. For this second example, the remaining chapters then go into a discussion that tells the stories of the author’s experiences with the participants. Reading through these two examples, we are struck by how they both reflect the three-dimensional inquiry space that Clandinin and Connelly (2000) discuss. This space, as mentioned earlier, is a text that looks backward and forward, looks inward and outward, and situates the experiences within place. For example, the dissertation of He, cited by Clandinin, is a study about the lives of two participants and the author in their past life in China and in their present situation in Canada. The story does the following:

[It] looks backward to the past for her and her two participants and forward to the puzzle of who they are and who they are becoming in their new land. She looks inward to her personal reasons for doing this study and outward to the social significance of the work. She paints landscapes of China and Canada and the in-between places where she imagines herself to reside. (Clandinin & Connelly, 2000, p. 156)

Later in Clandinin and Connelly (2000), there is a story about Clandinin’s advice for students about the narrative form of their studies. This form again relates to the three-dimensional space model:

When they came to Jean for conversations about their emerging texts, she found herself responding not so much with comments about preestablished and accepted forms but with response that raised questions situated within the three-dimensional narrative inquiry space. (Clandinin & Connelly, 2000, p. 165)

Notice in this passage how Clandinin “raised questions” rather than told the student how to proceed, and how she returned to the larger rhetorical structure of the three-dimensional inquiry space model as a framework for thinking about the writing of a narrative study. This framework also suggests a chronology to the narrative report, and this ordering within the chronology might further be organized by time or by specific episodes (Riessman, 2008).

In narrative research, as in all forms of qualitative inquiry, there is a close relationship between the data collection procedures, the analysis, and the form and structure of the writing report. For example, the larger writing structure in a thematic analysis would be the presentation of several themes (Riessman, 2008). In a more structured approach—analyzing how the individual tells a story—the elements presented in the report might follow six elements, what Riessman (2008) calls a “fully formed narrative” (p. 84). These would be the elements of the following:

  • A summary and/or the point of the story
  • Orientation (the time, place, characters, and situations)
  • Complicating action (the event sequence, or plot usually with a crisis or turning point)
  • Evaluation (where the narrator comments on meaning or emotions)
  • Resolution (the outcome of the plot)
  • Coda (ending the story and bringing it back to the present)

In a narrative study focused on the interrogation between speakers (such as the interviewer and the interviewee), the larger writing structure would focus on direct speech and dialogue. Further, the dialogue might contain features of a performance, such as direct speeches, asides to the audience, repetition, expressive sounds, and switches in verb tense. The entire report may be a poem, a play, or another dramatic rendering. In previous chapters, we have described narrative studies that illustrate these narrative elements (see Chan, 2010; Appendix B), and we encourage you to review them for similarities and differences in how the studies are presented.

Embedded Structures

Assuming that the larger writing structure proceeds with experimentation and flexibility, the writing structure at the more micro level relates to several elements of writing strategies that authors might use in composing a narrative study. These are drawn from Clandinin (2013), Clandinin and Connelly (2000), Czarniawska (2004), and Riessman (2008).

The writing of a narrative needs to not silence some of the voices, and it ultimately gives more space to certain voices than others (Czarniawska, 2004). In addition, there can be a spatial element to the writing, such as in the progressive–regressive method (Denzin, 2001) whereby the biographer begins with a key event in the participant’s life and then works forward and backward from that event, such as in Denzin’s (2001) study of alcoholics. Alternatively, there can be a “zooming in” and “zooming out,” such as describing a large context to a concrete field of study (e.g., a site) and then telescoping out again (Czarniawska, 2004). Huber and Whelan’s (1999) retelling of the narrative of a teacher’s identity shaping refers to personal background influences as she talks about more current professional experiences. Similarly, Ellis’s (1993) personal narrative of a family drama enacted in the aftermath of her brother’s death in airplane crash is told by alternating between descriptions of childhood experiences and those surrounding the crash.

The writing may emphasize the “key event” or the epiphany, defined as interactional moments and experiences that mark people’s lives (Denzin, 2001). Denzin distinguishes four types: the major event that touches the fabric of the individual’s life; the cumulative or representative events or experiences that continue for some time; the minor epiphany, which represents a moment in an individual’s life; and episodes or relived epiphanies, which involve reliving the experience. Czarniawska (2004) introduces the key element of the plot or the emplotment, a means of introducing structure that allows for making sense of the events reported.

Themes can be reported in narrative writing. Smith (1994) recommends finding a theme to guide the development of the life to be written. This theme emerges from preliminary knowledge or a review of the entire life, although researchers often experience difficulty in distinguishing the major theme from lesser or minor themes. Clandinin and Connelly (2000) refer to writing research texts at the reductionistic boundary, an approach consisting of a “reduction downward” (p. 143) to themes in which the researcher looks for common threads or elements across participants. Clandinin (2013) describes these threads as important for composing multiple narrative accounts.

Specific narrative writing strategies also include the use of dialogue, such as that between the researcher and the participants (Riessman, 2008). Sometimes in this approach the specific language of the narrator is interrogated and is not taken at face value. The dialogue unfolds in the study, and often it is presented in different languages, including the language of the narrator and an English translation. An example is provided by Chan’s (2010; see Appendix B) story of one Chinese immigrant student and the affiliation this student had with other students, her teacher, and her family where dialogue between the researcher and the student provided evidence for each theme. Each dialogue segment was titled to shape the meaning of the conversation, such as “Susan doesn’t speak Fujianese” (Chan, 2010, p. 117).

Other narrative rhetorical devices include the use of transitions. Lomask (1986) refers to these as built into the narratives in natural chronological linkages. Writers insert them through words or phrases, questions (which Lomask calls being lazy), and time-and-place shifts moving the action forward or backward. In addition to transitions, narrative researchers employ foreshadowing, the frequent use of narrative hints of things to come or of events or themes to be developed later. Narrative researchers also use metaphors, and Clandinin and Connelly (2000) suggest the metaphor of a soup (i.e., with description of people, places, and things; arguments for understandings; and richly textured narratives of people situated in place, time, scene, and plot) within containers (i.e., dissertation, journal article) to describe their narrative texts.

Phenomenological Writing Structures

Those who write about phenomenology (e.g., Moustakas, 1994; van Manen, 2014) provide more extensive attention to overall writing structures than to embedded ones. However, as in all forms of qualitative research, one can learn much from a careful study of research reports in journal article, monograph, or book form.

Overall Structures

The highly structured approach to analysis by Moustakas (1994) presents a detailed form for composing a phenomenological study. The analysis steps—identifying significant statements, creating meaning units, clustering themes, advancing textural and structural descriptions, and ending with a composite description of textural and structural descriptions with an exhaustive description of the essential invariant structure (or essence) of the experience—provide a clearly articulated procedure for organizing a report (Moustakas, 1994). In our experience, individuals are quite surprised to find highly structured approaches to phenomenological studies on sensitive topics (e.g., “being left out,” “insomnia,” “being criminally victimized,” “life’s meaning,” “voluntarily changing one’s career during midlife,” “longing,” “adults being abused as children”; Moustakas, 1994, p. 153). But the data analysis procedure, we think, guides a researcher in that direction and presents an overall structure for analysis and ultimately the organization of the report.

Consider the overall organization of a report as suggested by Moustakas (1994). He recommends specific chapters in “creating a research manuscript”:

  • Chapter 1Introduction and statement of topic and outline. Topics include an autobiographical statement about experiences of the author leading to the topic, incidents that lead to a puzzlement or curiosity about the topic, the social implications and relevance of the topic, new knowledge and contribution to the profession to emerge from studying the topic, knowledge to be gained by the researcher, the research question, and the terms of the study.
  • Chapter 2Review of the relevant literature. Topics include a review of databases searched, an introduction to the literature, a procedure for selecting studies, the conduct of these studies and themes that emerged in them, and a summary of core findings and statements as to how the present research differs from prior research (in question, model, methodology, and data collected).
  • Chapter 3Conceptual framework of the model. Topics include the theory to be used as well as the concepts and processes related to the research design (Chapters 3 and 4 might be combined).
  • Chapter 4Methodology. Topics include the methods and procedures in preparing to conduct the study; in collecting data; and in organizing, analyzing, and synthesizing the data.
  • Chapter 5Presentation of data. Topics include verbatim examples of data collection, data analysis, a synthesis of data, horizonalization, meaning units, clustered themes, textural and structural descriptions, and a synthesis of meanings and essences of the experience.
  • Chapter 6Summary, implications, and outcomes. Sections include a summary of the study, statements about how the findings differ from those in the literature review, recommendations for future studies, the identification of limitations, a discussion about implications, and the inclusion of a creative closure that speaks to the essence of the study and its inspiration for the researcher.

A second model, not as specific, is found in Polkinghorne (1989) where he discusses the “research report.” In this model, the researcher describes the procedures to collect data and the steps to move from the raw data to a more general description of the experience. Also, the investigator includes a review of previous research, the theory pertaining to the topic, and implications for psychological theory and application. We especially like Polkinghorne’s (1989) comment about the impact of such a report:

Produce a research report that gives an accurate, clear, and articulate description of an experience. The reader of the report should come away with the feeling that “I understand better what it is like for someone to experience that.” (p. 46)

A third model of the overall writing structure of a phenomenological study comes from van Manen (1990, 2014). He begins his discussion of “working the text” (van Manen, 1990, p. 167) with the thought that studies that present and organize transcripts for the final report fall short of being a good phenomenological study. Instead, he recommends several options for writing the study. The study might be organized thematically, examining essential aspects of the phenomenon under study. It might also be presented analytically by reworking the text data into larger ideas (e.g., contrasting ideas), or focused narrowly on the description of a particular life situation. It might begin with the essence description and then present varying examples of how the essence is manifested. Other approaches include engaging one’s writing in a dialogue with other phenomenological authors and weaving the description against time, space, the lived body, and relationships to others. In the end, van Manen suggests that authors may invest new ways of reporting their data or combine approaches.

Embedded Structures

Turning to embedded rhetorical structures, the literature provides the best evidence. A writer presents the “essence” of the experience for participants in a study through sketching a short paragraph about it in the narrative or by enclosing this paragraph in a figure. This latter approach is used effectively in a study of the caring experiences of nurses who teach (Grigsby & Megel, 1995). Another structural device is to educate the reader through a discussion about phenomenology and its philosophical assumptions. Harper (1981) uses this approach and describes several of Husserl’s major tenets as well as the advantages of studying the meaning of “leisure” in a phenomenology.

Finally, we like Moustakas’s (1994) suggestion: “Write a brief creative close that speaks to the essence of the study and its inspiration to you in terms of the value of the knowledge and future directions of your professional-personal life” (p. 184). Despite the phenomenologist’s inclination to bracket himself or herself out of the narrative, Moustakas introduces the reflexivity that psychological phenomenologists can bring to a study, such as casting an initial problem statement within an autobiographical context. In previous chapters, we have described phenomenologies that follow general outlines (see Anderson & Spencer, 2002; Appendix C), and we encourage you to review them for similarities and differences in how the studies are presented. Specifically, Anderson and Spencer’s phenomenology of how persons living with AIDS image their disease represented many of these overall and embedded writing structures. The overall article has a structured organization, opening with a quote from a 53-year-old man with AIDS, followed by a study introduction, a review of the literature, methods, and results. It followed Colaizzi’s (1978) phenomenological methods by reporting a table of significant statements and a table of meaning themes. Anderson and Spencer (2002) ended with an in-depth, exhaustive description of the phenomenon:

Results were integrated into an essential scheme of AIDS. The lived experience of AIDS was initially frightening, with a dread of body wasting and personal loss. Cognitive representations of AIDS included inescapable death, bodily destruction, fighting a battle, and having a chronic disease. Coping methods included searching for the “right drug,” caring for oneself, accepting the diagnosis, wiping AIDS out of their thoughts, turning to God, and using vigilance. With time, most people adjusted to living with AIDS. Feelings ranged from “devastating,” “sad,” and “angry” to being at “peace” and “not worrying.” (p. 1349)

A similar structured approach informed by Moustakas (1994) was taken in Padilla’s (2003) phenomenology of the lived experience of a disability of a woman who sustained a head injury 21 years ago. Quotes from the woman were used to begin and end the article and are embedded throughout—the only exception being the writer’s description of the background of the project.

Grounded Theory Writing Structures

From reviewing grounded theory studies in journal articles, qualitative researchers can deduce a general form (and variations) for composing the narrative. The problem with journal articles is that the authors present truncated versions of the studies to fit within the parameters of the journals. Thus, a reader emerges from a review of a particular study without a full sense of the entire project.

Overall Structures

Most importantly, authors need to present the theory in any grounded theory narrative. To do this requires the writer to engage in an iterative process: “It means going back and forth between the sections to rethink, revise, and sometimes recast and rewrite” (Charmaz, 2014, p. 285). As May (1986) comments, “In strict terms, the findings are the theory itself, i.e., a set of concepts and propositions which link them” (p. 148). May (1986) continues to describe the research procedures in grounded theory:

  • The research questions are broad. They will change several times during data collection and analysis.
  • The literature review “neither provides key concepts nor suggests hypotheses” (p. 149). Instead, the literature review in grounded theory shows gaps or bias in existing knowledge, thus providing a rationale for this type of qualitative study.
  • The methodology evolves during the course of the study, so writing it early in a study poses difficulties. However, the researcher begins somewhere, and she or he describes preliminary ideas about the sample, the setting, and the data collection procedures.
  • The findings section presents the theoretical scheme. The writer includes references from the literature to show outside support for the theoretical model. Also, segments of actual data in the form of vignettes and quotes provide useful explanatory material. This material helps the reader form a judgment about how well the theory is grounded in the data.
  • The final discussion section discusses the relationship of the theory to other existing knowledge and the implications of the theory for future research and practice.

Strauss and Corbin (1990) also provide broad writing parameters for their grounded theory studies. They suggest the following:

  • Develop a clear analytic story. This is to be provided in the selective coding phase of the study.
  • Write on a conceptual level, with description kept secondary to concepts and the analytic story. This means that one finds little description of the phenomenon being studied and more analytic theory at an abstract level.
  • Specify the relationship among categories. This is the theorizing part of grounded theory found in axial coding when the researcher tells the story and advances propositions.
  • Specify the variations and the relevant conditions, consequences, and so forth for the relationships among categories. In a good theory, one finds variation and different conditions under which the theory holds. This means that the multiple perspectives or variations in each component of axial coding are developed fully. For example, the consequences in the theory are multiple and detailed.

More specifically, in a structured approach to grounded theory as advanced by Strauss and Corbin (1990, 1998), specific aspects of the final written report contain a section on open coding that identifies the various open codes that the researcher discovered in the data, and the axial coding, which includes a diagram of the theory and a discussion about each component in the diagram (i.e., causal conditions, the central phenomenon, the intervening conditions, the context, the strategies, and the consequences). Also, the report contains a section on the theory in which the researcher advances theoretical propositions tying together the elements of the categories in the diagram, or discusses the theory interrelating the categories. In previous chapters, we have described grounded theory studies that follow this general outline (see Harley et al., 2009; Appendix D), and we encourage you to review them for similarities and differences in how the studies are presented.

For Charmaz (2006, 2014), a less-structured approach flows into her suggestions for writing the draft of the grounded theory study. She emphasizes the importance of allowing the ideas to emerge as the theory develops, revising early drafts, asking yourself questions about the theory (e.g., have you raised major categories to concepts in the theory?), constructing an argument about the importance of the theory, and closely examining the categories in the theory. Thus, Charmaz does not have a template for writing a grounded theory study but focuses our attention on the importance of the argument in the theory and the nature of the theory.

Embedded Structures

In grounded theory studies, the researcher varies the narrative report based on the extent of data analysis. Chenitz and Swanson (1986), for example, present six grounded theory studies that vary in the types of analysis reported in the narrative. In a preface to these examples, they mention that the analysis (and narrative) might address one or more of the following: description; the generation of categories through open coding; linking categories around a core category in axial coding, thus developing a substantive, low-level theory; and/or a substantive theory linked to a formal theory.

We have seen grounded theory studies that include one or more of these analyses. For example, in a study of gays and their “coming out” process, Kus (1986) uses only open coding in the analysis and identifies four stages in the process of coming out: identification, in which a gay person undergoes a radical identity transformation; cognitive changes, in which the individual changes negative views about gays into positive ideas; acceptance, a stage in which the individual accepts being gay as a positive life force; and action, the process of the individual’s engaging in behavior that results from accepting being gay, such as self-disclosure, expanding the circle of friends to include gays, becoming politically involved in gay causes, and volunteering for gay groups. Set in contrast to this focus on the process, Creswell and Brown (1992) follow the coding steps in Strauss and Corbin (1990). First, they examined the faculty development practices of chairpersons who enhance the research productivity of their faculties. They begin with open coding, move to axial coding complete with a logic diagram, and state a series of explicit propositions in directional (as opposed to the null) form.

Another embedded narrative feature is to examine the form for stating propositions or theoretical relationships in grounded theory studies. Sometimes, these are presented in “discursive” form, or describing the theory in narrative form. Strauss and Corbin (1990) present such a model in their theory of “protective governing” (p. 134) in the health care setting. Another example is seen in Conrad’s (1978) formal propositions about academic change in the academy.

Another embedded structure is the presentation of the “logic diagram,” the “mini-framework,” or the “integrative” diagram, where the researcher presents the actual theory in the form of a visual model. The researcher identifies elements of this structure in the axial coding phase, and then tells the “story” in axial coding as a narrative version of it. How is this visual model presented? A good example of this diagram is found in the Morrow and Smith (1995) study of women who have survived childhood sexual abuse. Their diagram shows a theoretical model that contains the axial coding categories of causal conditions, the central phenomenon, the context, intervening conditions, strategies, and consequences. It is presented with directional arrows indicating the flow of causality from left to right, from causal conditions to consequences. Arrows also show that the context and intervening conditions directly impact the strategies. Presented near the end of the study, this visual form represents the culminating theory for the study. Harley et al. (2009; see Appendix D) advance a visual of the theory about the evolution of physical activity involving a main progression of three phases (initiation, transition and integration) along with two alternatives described as the modification loop and the cessation loop.

Charmaz (2006, 2014) provides an array of embedded writing strategies useful in grounded theory reports including a centering of the analytical frameworks. Examples of grounded theory studies illustrate imparting mood or emotions into a theoretical discussion, straightforward language, and ways that writing can be accessible to readers such as the use of rhythm and time [e.g., “Days slip by” (Charmaz, 2006, p. 173)]. Charmaz also invites the use of unexpected definitions and assertions by the grounded theory author. Rhetorical questions are also useful, and the writing includes pacing and a tone that leads a reader into the topic. Stories can be told in grounded theory studies, and overall the writing brings evocative language to persuade the reader of the theory.

Ethnographic Writing Structures

Ethnographers write extensively about narrative construction, from how the nature of the text shapes the subject matter to the “literary” conventions and devices used by authors (Atkinson & Hammersley, 1994). The general shapes of ethnographies and embedded structures are well detailed in the literature.

Overall Structures

The overall writing structure of ethnographies varies. For example, Van Maanen (1988; 2011) provides the alternative forms of ethnography. Some ethnographies are written as realist tales, reports that provide direct, matter-of-fact portraits of studied cultures without much information about how the ethnographers produced the portraits. In this type of tale, a writer uses an impersonal point of view, conveying a “scientific” and “objective” perspective. A confessional tale takes the opposite approach, and the researcher focuses more on his or her fieldwork experiences than on the culture. The final type, the impressionistic tale, is a personalized account of “the fieldwork case in dramatic form” (Van Maanen, 1988, p. 7). It has elements of both realist and confessional writing and, in our opinion, presents a compelling and persuasive story. In both confessional and impressionistic tales, the first-person point of view is used, conveying a personal style of writing. Van Maanen states that other, less frequently written tales also exist—critical tales focusing on large social, political, symbolic, or economic issues; formalist tales that build, test, generalize, and exhibit theory; literary tales in which the ethnographers write like journalists, borrowing fiction-writing techniques from novelists; and jointly told tales in which the production of the studies is jointly authored by the fieldworkers and the participants, opening up shared and discursive narratives.

On a slightly different note but yet related to the larger rhetorical structure, Wolcott (1994) provides three components of a good qualitative inquiry that are a centerpiece of good ethnographic writing as well as steps in data analysis. First, an ethnographer writes a “description” of the culture that answers this question: “What is going on here?” (Wolcott, 1994, p. 12). Wolcott offers useful techniques for writing this description: chronological order, the researcher or narrator order, a progressive focusing, a critical or key event, plots and characters, groups in interaction, an analytical framework, and a story told through several perspectives. Second, after describing the culture using one of these approaches, the researcher “analyzes” the data. Analysis includes highlighting findings, displaying findings, reporting fieldwork procedures, identifying patterned regularities in the data, comparing the case with a known case, evaluating the information, contextualizing the information within a broader analytic framework, critiquing the research process, and proposing a redesign of the study. Of all these analytic techniques, the identification of “patterns” or themes is central to ethnographic writing. Third, interpretation is involved in the rhetorical structure. This means that the researcher can extend the analysis, make inferences from the information, do as directed or as suggested by gatekeepers, turn to theory, refocus the interpretation itself, connect with personal experience, analyze or interpret the interpretive process, or explore alternative formats. Of these interpretive strategies, we like the approach of interpreting the findings both within the context of the researcher’s experiences and within the larger body of scholarly research on the topic.

A more detailed, structured outline for ethnography was found in Emerson, Fretz, and Shaw (2011). They discuss developing an ethnographic study as a “thematic narrative,” a story “analytically thematized, but often in relatively loose ways . . . constructed out of a series of thematically organized units of fieldnote excerpts and analytic commentary” (p. 202). This thematic narrative builds inductively from a main idea or thesis that incorporates several specific analytic themes and is elaborated throughout the study. It is structured as follows:

  • First is an introduction that engages the reader’s attention and focuses the study, and then the researcher proceeds to link his or her interpretation to wider issues of scholarly interest in the discipline.
  • After this, the researcher introduces the setting and the methods for learning about it. In this section, too, the ethnographer relates details about entry into and participation in the setting as well as advantages and constraints of the ethnographer’s research role.
  • The researcher presents analytic claims next. Emerson and colleagues (2011) indicate the utility of “excerpt commentary” units, whereby an author incorporates an analytic point, provides orientation information about the point, presents the excerpt or direct quote, and then advances analytic commentary about the quote as it relates to the analytic point.
  • In the conclusion, the researcher reflects and elaborates on the thesis advanced at the beginning. This interpretation may extend or modify the thesis in light of the materials examined; relate the thesis to general theory or a current issue; or offer a metacommentary on the thesis, methods, or assumptions of the study.

In previous chapters, we have described ethnographies that follow this general outline (see Mac an Ghaill & Haywood, 2015; Appendix E), and we encourage you to review them for similarities and differences in how the studies are presented.

Embedded Structures

Ethnographers use embedded rhetorical devices such as figures of speech or “tropes” (Fetterman, 2010; Hammersley & Atkinson, 2007). Metaphors, for example, provide visual and spatial images or dramaturgical characterizations of social actions as theater. Another trope is the synecdoche, in which ethnographers present examples, illustrations, cases, and/or vignettes that form a part but stand for the whole. See Rhoads (1995) for an example of an effective opening vignette in an ethnography of fraternity life on campus. Ethnographers present storytelling tropes examining cause and sequence that follow grand narratives to smaller parables. A final trope is irony, in which researchers bring to light contrasts of competing frames of reference and rationality.

More specific rhetorical devices depict scenes in ethnography (Emerson et al., 2011). Writers can incorporate details or “write lushly” (Goffman, 1989, p. 131) or “thickly” a description that creates verisimilitude and produces for readers the feeling that they experience, or perhaps could experience, the events described (Denzin, 2001; Fetterman, 2010). The ethnographic study of the core values of the straight edge (sXe) movement illustrated many of these writing conventions (Haenfler, 2004). He told a persuasive story, with colorful elements (e.g., T-shirt slogans), “thick” description, and extensive quotes. Denzin (2001) talks about the importance of using “thick description” in writing qualitative research. By this, he means that the narrative “presents detail, context, emotion, and the webs of social relationships . . . [and] evokes emotionality and self-feelings. . . . The voices, feelings, actions, and meanings of interacting individuals are heard” (Denzin, 2001, p. 100). As an example, Denzin (2001) first refers to an illustration of thick description from Sudnow (1978) and then provides his own version as if it were a thin description.

“Sitting at the piano and moving into the production of a chord, the chord as a whole was prepared for as the hand moved toward the keyboard, and the terrain was seen as a field relative to the task. . . . There was chord A and chord B, separated from one another. . . . A’s production entailed a tightly compressed hand, and B’s . . . an open and extended spread. . . . The beginner gets from A to B disjointly.” (Sudnow, 1978, pp. 9–10)

“I had trouble learning the piano keyboard.” (Denzin, 2001, p. 102)

Also, ethnographers present dialogue, and the dialogue becomes especially vivid when written in the dialect and natural language of the culture (see, e.g., the articles on Black English vernacular or “code switching” in Nelson, 1990). Writers also rely on characterization in which human beings are shown talking, acting, and relating to others. Longer scenes take the form of sketches, a “slice of life” (Emerson et al., 2011, p. 75), or larger episodes and tales.

Ethnographic writers tell “a good story” (Richardson, 1990). Thus, one of the forms of “evocative” experimental qualitative writing for Richardson (1990) is the fictional representation form in which writers draw on the literary devices such as flashback, flash-forward, alternative points of view, deep characterization, tone shifts, synecdoche, dialogue, interior monologue, and sometimes the omniscient narrator. Similarly, Wolcott (2008a) emphasizes the use of techniques for telling the story as a travelogue, life history, or organized around specific themes.

Case Study Writing Structures

Turning to case studies, we are reminded by Merriam (1988) that “there is no standard format for reporting case study research” (p. 193). Unquestionably, some case studies generate theory, some are simply descriptions of cases, and others are more analytical in nature and display cross-case or inter-site comparisons. The overall intent of the case study undoubtedly shapes the larger structure of the written narrative. Still, we find it useful to conceptualize a general form, and we turn to key texts on case studies to receive guidance.

Overall Structures

One can open and close the case study narrative with vignettes to draw the reader into the case. This approach is suggested by Stake (1995), who provides an outline of topics that might be included in a qualitative case study. We feel that this is a helpful way to stage the topics in a good case study:

  • The writer opens with a vignette. This is so the reader can develop a vicarious experience to get a feel for the time and place of the study.
  • Next, the researcher identifies the issue, the purpose, and the method of the study so that the reader learns about how the study came to be, the background of the writer, and the issues surrounding the case.
  • This is followed by an extensive description of the case and its context—a body of relatively uncontested data. This is a description the reader might make if he or she had been there.
  • Issues are presented next, a few key issues, so that the reader can understand the complexity of the case. This complexity builds through references to other research or the writer’s understanding of other cases.
  • Next, several of the issues are probed further. At this point, too, the writer brings in both confirming and disconfirming evidence.
  • Assertions are presented. These are a summary of what the writer understands about the case and whether the initial naturalistic generalizations, conclusions arrived at through personal experience or offered as vicarious experiences for the reader, have been changed conceptually or challenged.
  • Finally, the writer ends with a closing vignette, an experiential note. It is to remind the reader that this report is one person’s encounter with a complex case.

We like this general outline because it provides a description of the case; presents themes, assertions, or interpretations of the researcher; and begins and ends with realistic scenarios. In previous chapters, we have referred to case studies that follow this general outline (see Frelin, 2015; Appendix F), and we encourage you to review them for similarities and differences in how the cases are presented.

A similar model is found in Lincoln and Guba’s (1985) substantive case report. They describe a need for the explication of the problem, a thorough description of the context or setting, a description of the transactions or processes observed in that context, saliences at the site (elements studied in depth), and outcomes of the inquiry (“lessons learned”).

At a more general level yet, we find Yin’s (2014) 2×2 table of types of case studies helpful. Case studies can be either single-case or multiple-case designs and either holistic (single unit of analysis) or embedded (multiple units of analysis). Yin comments further that a single case is best when a need exists to study a critical case, an extreme or unique case, or a revelatory case. Whether the case is single or multiple, the researcher decides to study the entire case, a holistic design, or multiple subunits within the case (the embedded design). Although the holistic design may be more abstract, it captures the entire case better than the embedded design does. However, the embedded design starts with an examination of subunits and allows for the detailed perspective should the questions begin to shift and change during fieldwork.

Yin (2014) also presents several possible structures for composing a case study report. In a linear-analytic approach, a standard approach according to Yin, the researcher discusses the problem, the methods, the findings, and the conclusions. An alternative structure repeats the same case study several times and compares alternative descriptions or explanations of the same case. A chronological structure presents the case study in a sequence, such as sections or chapters that address the early, middle, and late phase of a case history. Theories are also used as a framework, and the case studies can debate various hypotheses or propositions. In a suspense structure, the “answer” or outcome of a case study and its significance is presented in an initial chapter or section. The remaining sections are then devoted to the development of an explanation for this outcome. In a final structure, the unsequenced structure, the author describes a case with no particular order to the sections or chapter.

Embedded Structures

What specific narrative devices, embedded structures, do case study writers use to “mark” their studies? One might approach the description of the context and setting for the case in a chronology from a broader picture to a narrower one. The gunman case (Asmussen & Creswell, 1995) begins with a description of the actual campus incident in terms of the city in which the situation developed, followed by the campus and, more narrow yet, the actual classroom on campus. This represents a funneling approach that narrowed the setting from a calm city environment to a potentially volatile campus classroom, and this approach seemed to launch the study into a chronology of events that occurred. Another example is provided by the multiple case study of technology integration across three schools (Staples, Pugach, & Himes, 2005). Each case description begins with the technology context that existed prior to the study, the changes that occurred during the study, and concludes with future projections. The chronological approach seemed to work best when events unfolded and followed a process; case studies often are bounded by time and cover events over time (Yin, 2014).

The case study describing the relational practices of a teacher who negotiates educational relationships with students who have a history of school failure (Frelin, 2015; see Appendix F) also represented a single-case study (Yin, 2014), with a single narrative about the case, its themes, and its interpretation. In other studies (e.g., Chirgwin, 2015; Staples et al., 2005), the case presentations are of multiple cases, with each case discussed separately with no separate discussions of each case but followed by an overall cross-case analysis (Yin, 2014). Another Yin (2014) narrative format is to pose a series of questions and answers based on the case study database.

Finally, researchers need to be cognizant of the amount of description in their case studies versus the amount of analysis and interpretation or assertions (Merriam & Tisdell, 2015). In comparing description and analysis, Merriam (1988) suggests that the proper balance might be 60% to 40% or 70% to 30% in favor of description. An examination of the gunman case revealed a balancing of elements in equal thirds (33% to 33% to 33%)—a concrete description of the setting and the actual events (and those that occurred within 2 weeks after the incident); the five themes; and our interpretation, the lessons learned, reported in the discussion section. Writers must make these decisions, and it is conceivable that a case study might contain mainly descriptive material, especially if the bounded system, the case, is quite large and complex.

A Comparison of Writing Structures Across Approaches

Looking back over Table 9.1, we see many diverse structures for writing the qualitative report. What major differences exist in the structures depending on one’s choice of approach?

First, we are struck by the diversity of discussions about narrative structures. We found little crossover or sharing of structures among the five approaches, although, in practice, this undoubtedly occurs. The narrative tropes and the literary devices, discussed by ethnographers and narrative researchers, have applicability regardless of approach. Second, the writing structures are highly related to data analysis procedures. A phenomenological study and a grounded theory study follow closely their data analysis steps. In short, we are reminded once again that it is difficult to separate the activities of data collection, analysis, and report writing in a qualitative study. Third, the emphasis given to writing the narrative, especially the embedded narrative structures, varies among the approaches. Ethnographers lead the group in their extensive discussions about narrative and text construction. Phenomenologists and grounded theory writers spend less time discussing this topic. Fourth, the overall narrative structure is clearly specified in some approaches (e.g., a grounded theory study, a phenomenological study, and perhaps a case study), whereas it is flexible and evolving in others (e.g., a narrative, an ethnography). Perhaps this conclusion reflects the more structured approach versus the less structured approach, overall, among the five approaches of inquiry.

Chapter Check-In

  1. Do you see how authors use several broad writing strategies in their published qualitative studies? Select one of the qualitative articles presented in Appendices B through F.
    1. Begin with identifying the four strategies described (i.e., reflexivity and representations, audience, encoding, and quotes) as they have been applied in the journal article. Note the influence of which strategies are apparent and which are more difficult to identify.
    2. Identify the intended audience for each of the articles. Consider how the other strategies might be adapted if a different audience was targeted.
  2. Do you see the overall writing structures within a particular approach to qualitative research and then can you adapt it to guide your own work? Select one of the qualitative articles presented in Appendices B through F that fits your particular approach.
    1. Begin with diagramming its overall structure by identifying the flow within its components. How does the article start? With a personal vignette, a statement of the problem, a literature review? What comes next? How does the article end?
    2. Then look within each component and identify the embedded strategies used—for example, metaphors, quotes, and diagrams.
  3. Can you identify the characteristics of “good” writing to develop a deeper understanding of the embedded writing structures in a qualitative study? Read qualitative journal articles or books that adopt different strategies, such as progressive–regressive methods in the narrative study of Ellis (1993), creative closings in the phenomenology of Anderson and Spencer (2002), visual diagrams in the grounded theory study of Morrow and Smith (1995), tropes in in the ethnography of Rhoads (1995), and the funneling approach in the case study of Asmussen and Creswell (1995).
    1. Underline examples of the embedded strategy the authors use, and consider the effectiveness of their strategy.
    2. Could the strategy be used as effectively in other approaches?
    3. How would different audiences impact your use of various embedded writing structures?
  4. Can you identify the characteristics of thick description to apply our understandings to a practical experience in writing qualitative research? To do this, turn to novels in which the author provides exquisite detail about an event, a thing, or a person. For example, turn to page 14 in Paul Harding’s (2009) award-winning book, Tinkers, and read the passage about how George repaired a broken clock at a tag sale.
    1. Write about how Harding incorporates a physical description, includes a description of the steps (or movement), uses strong action verbs, draws on references or quotes, and relies on the five senses to convey detail (sight, hearing, taste, smell, touch).
    2. Use this type of detail in your qualitative descriptions or themes.

Summary

In this chapter, we discussed writing the qualitative report. We began by revisiting ethical considerations and then by discussing several rhetorical issues the writer must address. These rhetorical issues include writing reflexively and with representation, the audience for the writing, the encoding for that audience, and the use of quotes. Then we turned to each of the five approaches of inquiry and presented overall rhetorical structures for organizing the entire study as well as specific embedded structures, writing devices, and techniques that the researcher incorporates into the study. A table of these structures shows the diversity of perspectives about structure that reflects different data analysis procedures and discipline affiliations. We concluded with observations about the differences in writing structures among the five approaches, differences reflected in the variability of approaches, the relationships between data analysis and report writing, the emphasis in the literature of each approach on narrative construction, and the amount of structure in the overall architecture of a study within each approach.

Further Readings

In addition to many of the resources already suggested in earlier chapters, which include strategies and guidance for writing and communicating qualitative research, we highlight a few here focused on information about procedures and issues about writing. The list should not be considered exhaustive, and readers are encouraged to seek out additional readings in the end-of-book reference list.

Denzin, N. K. (2001). Interpretive interactionism (2nd ed.). Thousand Oaks, CA: Sage.

In this second edition, Norman Denzin expands his guidance about how “to do” interpretive interactionism—that is to make the lived experiences successfully accessible to a reader.

Gilgun, J. F. (2005). “Grab” and good science: Writing up the results of qualitative research. Qualitative Health Research, 15, 256–262. doi:10.1177/1049732304268796

Jane Gilgun presents compelling historical and contemporary arguments for the use of first-person voice and guidance for writing qualitative research.

Richardson, L. (1990). Writing strategies: Reaching diverse audiences. Newbury Park, CA: Sage.

Laurel Richardson offers an important resource for guiding qualitative writing and how it needs to be adjusted based on the target audience.

Strunk, W., & White, E. B. (2000). The elements of style (4th ed.). Upper Saddle River, NJ: Pearson.

William Strunk and E. B. White convey the principles of English style in an accessible manner with illustrative examples accompanying detailed descriptions. This is essential reading.

Sword, H. (2012). Stylish academic writing. Cambridge, MA: Harvard University Press.

Helen Sword describes the elements of stylishness for scholars writing for larger audiences. Of particular note are her chapters on “tempting titles” and “hooks and sinkers.”

Van Maanen, J. (2011). Tales of the field: On writing ethnography (2nd ed.). Chicago, IL: University of Chicago Press.

John Van Maanen unpacks the styles associated with written representations of culture. In so doing, he offers valuable advice to an ethnographer through illustrative examples and practices.

Weis, L., & Fine, M. (2000). Speed bumps: A student-friendly guide to qualitative research. New York, NY: Teachers College Press.

Lois Weis and Michelle Fine provide an excellent resource focused on reflexivity. Specifically, they clearly explain the potential impact of qualitative writing on readers, audiences, and the participants studied.

Wolcott, H. F. (2008b). Writing up qualitative research (3rd ed.) Thousand Oaks, CA: Sage.

Harry Wolcott leads the reader through a time-tested process of interpreting and communicating qualitative research. Noteworthy are his guidance with respect to perseverance in writing and tightening the message.

 

Briefly justify the innovative side of the firm’s operations and its positive impact in the foreign market,which you selected for firm’s expansion.

Detailed criteria
❷ Executive Summary.
Criteria [carries 10 marks]:
1. Any business report includes an Executive Summary. Your main objective at this step is to provide a
concise and persuasive outline of your strategic plan for managers to take an action upon it. Keep in
mind your audience: your writing must address executive managers of the company.
2. Briefly justify the innovative side of the firm’s operations and its positive impact in the foreign market,which you selected for firm’s expansion (see previous page).
3. Briefly outline the major challenges that the firm has being facing in foreign or local markets [worth 3
marks].
4. Briefly outline the main points of your strategic plan, clearly stating why this strategy would be optimal for the firm’s expansion in the foreign market which you selected [worth 3 marks].
5. Justify the value which your strategic plan will bring to the company [worth 4 marks].
6. Do not use tables or diagrams in Executive Summary. Fit your Executive Summary on one page. The
Executive Summary is not included in word count.
Reasoning: you must learn to deliver your business ideas to the target audience in a persuasive tone.

Discuss the vulnerabilities associated with four of the ten networks described in your readings. Make sure you identify the network, potential vulnerabilities, and what the result could be from an attack against it.

This assignment consists of two questions (below) to test your knowledge and assimilation of the course objectives. You are to pick one and answer it in a 4-6 page essay. The assignment rubric is included for your review. Grading will be based on the rubric. Make sure you follow AMU’s writing policies and the Chicago writing style guide (cover page, page numbering, citations, bibliography, double space, headings/subheadings, etc). You must use your class readings and you must cite your work. No exceptions.

Essay Question #1: Discuss the vulnerabilities associated with four of the ten networks described in your readings. Make sure you identify the network, potential vulnerabilities, and what the result could be from an attack against it.

Essay Question #2: Discuss how a cyber warrior can use a social networking site to gain information.

In one paragraph, differentiate between determinate, indeterminate, and mandatory sentencing structures. Give an example of each type of sentencing structure.

The Project (Parts 1, 2 and final paper) align with Learning Outcomes 1–10.

Project Requirements

  • Your project must use the APA Template from the Course Introduction: APA & You Module and attached to these assignment instructions to receive credit. Failure to use the APA Template, and personalize it to your paper, will result in an automatic zero on your writing assignment.
  • Your entire document must be double-spaced using Times New Roman 12-point font with 1-inch margins. Headers should also be in Times New Roman 12-point font.
  • Proofread your document to eliminate mechanical and grammatical errors.
  • For citations and references, follow APA format. See the Introductory Module for examples. You must cite your textbook and every source you use for project research using parenthetical citations and references in APA format. Be sure to also cite any other sources you use.
  • Provide in-text citations in every paragraph and for every source you use.
  • Minimize the amount of direct quotes you use and focus on writing in your own words. A Turnitin similarity report of 30% or more (meaning at least 30% of your paper is similar to other sources, i.e. not in your own words)will result in a zero on your writing assignment. Note that even though you write in your own words, you still must properly cite all sources to avoid plagiarizing. Any student who has a similarity report over the accepted 30% can face formal action by FSCJ, according to the Academic Dishonesty policy in the course syllabus.
  • Remember that this is not a subjective essay — there should not be any personal opinion or experiences expressed here, and all information should be shared in an academic and respectful manner. Do not use personal pronouns (I, me, we, us, you, etc.) in academic writing.
  • All writing assignments must be submitted as Microsoft Word file attachments via the designated submission link above.Any assignment not submitted, as a Word document in APA format will not be graded, per the course syllabus.

Final Project Description

The final paper is due in Module 7 and is worth 150 points. The final paper combines the information submitted in Parts 1 and 2.  For the Final Project and in one Word document, students should combine their completed Part 1 and Part 2 submissions. Students should use my comments on their Part 1 and 2 submissions to improve their final project before submitting it as they will be graded based upon how accurate and complete their final projects are (see the Final Project Grading Rubric). The final paper is a synthesis of the adult prison research, addressing all required components.

Scope and Criteria for Final Project

Paragraph 1: Facility Introduction

In one paragraph, and based upon your selected prison, what is the name, location, and security level of the facility? Is this a state or a federal facility?

Paragraphs 2-3: Determinate and Indeterminate Sentencing

  • In one paragraph, differentiate between determinate, indeterminate, and mandatory sentencing structures. Give an example of each type of sentencing structure.
  • In one paragraph, consider the region in which your facility is located. What is the sentencing structure for the region your facility is located in? Describe.

Paragraphs 4-5: Inmate Classification

In one paragraph:

  • Define and discuss inmate classification.
  • Why is inmate classification important?
  • Consider the goals of punishment, control, and rehabilitation that are underlying purposes of the American corrections system. How might inmate classification lead to conflict between the goals of punishment and control, and the need to rehabilitate offenders?

In one paragraph, discuss the inmate classification process for the facility you located.

  • Inmate classification may be described on the facility’s website, on the correctional department website in which the facility is located, and/or in the statutes outlining the classification process for the region the facility is located in (state or federal). See the Learning Units in Modules 3 and 5 for an example of one state’s classification process.

Paragraphs 6-11: Institutional Programs

As you have learned, there are many types of programs offered in correctional facilities around the country.

  • Paragraph 6: Based upon what you learned in the text, what are the general categories of programs offered to inmates in correctional facilities?
  • Paragraph 7: Describe one type of institutional program available to inmates at the prison you are researching.  Address the following elements in this paragraph:
    • Based upon what you learned about types of prison programs, what is the purpose/goal of the type of program you identified?
    • For the program you identify, describe the rehabilitative model that program is based on (educational, vocational, therapeutic, etc.).
  • Paragraph 8: For the type of program you identified, discuss the correctional staff who would be working in those programs (counselors, psychologists, psychiatrists, social workers, doctors, educators, etc.).
  • Paragraph 9: Identify and discuss one advantage and one disadvantage to offering career education and one advantage and one disadvantage to offering vocational training in an institutional setting.
  • Paragraph 10: Define and discuss the purpose of work release and pre-release institutional programs. Also discuss the purpose of post-release programs.
  • Paragraph 11: Discuss any pre-release programs available at your facility.  Address the following elements in this paragraph:
    • Review the definition of a pre-release program to ensure what you discuss here qualifies under that category.
    • Does the facility you researched offer work release and/or pre-release programs?
      • If so, describe at least one of these programs.
      • If not, and based upon what you learned in this course, explain why you think the facility you researched does not offer these programs. Consider the type of inmate(s), budget restraints, and other factors in your response.

Do you think fraud on resumes and job applications is an important issue for organizations? Why or why not?

“You Manage It! 2: Ethics/Social Responsibility What a Fraud!

The economy is tight, and there is competition among applicants to land jobs. This setting is expected to lead to an increase in the number of applicants who will misrepresent their background and credentials. The hope, of course, is that this bit of fudging will help them get the job. The misrepresentations might involve a change in the date of birth, shifting a college major, or maybe even the fabrication of a degree. There may also be lies about criminal records. The fact of the matter is that these misrepresentations, whether “little white lies” or major fabrications, are fraud. It is expected that fraud will be engaged in by approximately 30 percent of job applicants.

Critical Thinking Questions;

5-17. Do you think fraud on resumes and job applications is an important issue for organizations? Why or why not?

5-18. Sometimes qualifications and credentials are important. For example, do you think it is important that your professors actually have the required qualifications (e.g., a PhD) to teach university-level classes? Is it important that your doctor have the qualifications that the medical board indicates are needed? Why?

5-19. If a fraudulent imposter can perform the job, what’s the harm?”